Recent Annual Filings for BDC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,327,938,000 $2,460,979,000 $2,233,037,000 $236,160,000 $352,076,000 $-143,718,000 $-226,742,000
2023 $3,240,191,000 $2,512,084,000 $2,226,328,000 $207,152,000 $319,638,000 $-211,932,000 $-90,632,000
2022 $3,161,675,000 $2,606,485,000 $2,289,092,000 $319,502,000 $281,296,000 $-393,214,000 $43,919,000
2021 $3,417,677,000 $2,408,100,000 $2,320,438,000 $184,179,000 $272,055,000 $-32,926,000 $141,763,000
2020 $3,139,734,000 $1,862,716,000 $1,796,589,000 $-183,097,000 $173,364,000 $-74,911,000 $76,109,000
2019 $3,406,759,000 $2,131,278,000 $1,978,868,000 $-364,823,000 $276,893,000 $-86,948,000 $5,275,000
2018 $3,779,321,000 $2,585,368,000 $2,365,038,000 $183,823,000 $289,220,000 $-281,770,000 $-140,498,000
2017 $3,840,613,000 $2,388,643,000 $2,289,295,000 $33,878,000 $255,300,000 $-331,448,000 $-287,008,000