Recent Annual Filings for BBY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $14,782,000,000 $41,528,000,000 $40,233,000,000 $910,000,000 $2,098,000,000 $-1,309,000,000 $75,000,000
2024 $14,967,000,000 $43,452,000,000 $41,831,000,000 $1,236,000,000 $1,470,000,000 $-1,144,000,000 $-460,000,000
2023 $15,803,000,000 $46,298,000,000 $44,510,000,000 $1,412,000,000 $1,824,000,000 $-1,806,000,000 $-952,000,000
2022 $17,504,000,000 $51,761,000,000 $48,737,000,000 $2,455,000,000 $3,252,000,000 $-4,297,000,000 $-2,420,000,000
2021 $19,067,000,000 $47,262,000,000 $44,885,000,000 $1,831,000,000 $4,927,000,000 $-876,000,000 $3,270,000,000
2020 $15,591,000,000 $43,638,000,000 $41,645,000,000 $1,542,000,000 $2,565,000,000 $-1,498,000,000 $171,000,000
2019 $12,901,000,000 $42,879,000,000 $40,991,000,000 $1,444,000,000 $2,408,000,000 $-2,018,000,000 $884,000,000
2018 $13,049,000,000 $42,151,000,000 $40,334,000,000 $1,035,000,000 $2,141,000,000 $-2,297,000,000 $-1,133,000,000