Recent Annual Filings for BC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,230,500,000 $6,401,400,000 $5,772,500,000 $424,200,000 $733,600,000 $-487,000,000 $-129,600,000
2022 $6,321,300,000 $6,812,200,000 $5,958,600,000 $679,000,000 $586,100,000 $110,800,000 $241,800,000
2021 $5,425,000,000 $5,846,200,000 $5,109,800,000 $604,500,000 $574,000,000 $621,800,000 $-163,600,000
2020 $3,770,600,000 $4,347,500,000 $3,874,800,000 $383,400,000 $798,300,000 $-361,800,000 $198,400,000
2019 $3,564,400,000 $4,108,400,000 $3,997,700,000 $178,700,000 $434,200,000 $-600,800,000 $28,500,000
2018 $4,285,700,000 $5,159,200,000 $4,837,000,000 $262,000,000 $337,000,000 $620,500,000 $-154,800,000
2017 $3,358,200,000 $4,510,000,000 $4,166,700,000 $221,200,000 $400,300,000 $-203,700,000 $24,600,000
2016 $3,284,700,000 $4,488,500,000 $4,098,800,000 $315,500,000 $421,900,000 $-172,400,000 $-234,900,000