Recent Annual Filings for BCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,623,100,000 $5,011,900,000 $4,577,600,000 $26,100,000 $426,000,000 $42,200,000 $156,800,000
2023 $6,601,800,000 $4,874,600,000 $4,395,200,000 $140,500,000 $702,400,000 $-207,100,000 $273,100,000
2022 $6,366,000,000 $4,535,500,000 $4,148,900,000 $382,900,000 $479,900,000 $245,200,000 $323,800,000
2021 $5,566,700,000 $4,200,200,000 $3,865,500,000 $206,800,000 $478,000,000 $171,300,000 $143,800,000
2020 $5,135,600,000 $3,690,900,000 $3,461,800,000 $5,700,000 $317,700,000 $683,700,000 $473,900,000
2019 $3,763,800,000 $3,683,200,000 $3,437,000,000 $37,100,000 $368,600,000 $-38,000,000 $-10,500,000
2018 $3,236,000,000 $3,488,900,000 $3,212,500,000 $-44,000,000 $364,100,000 $93,400,000 $-247,400,000
2017 $3,059,600,000 $3,347,000,000 $3,076,400,000 $4,800,000 $252,100,000 $585,800,000 $430,800,000