Recent Annual Filings for BDN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,492,213,000 $505,517,000 $452,934,000 $-193,287,000 $181,125,000 $-32,297,000 $28,643,000
2023 $3,732,447,000 $514,651,000 $545,179,000 $-201,982,000 $177,273,000 $46,786,000 $49,147,000
2022 $3,874,505,000 $506,100,000 $412,054,000 $59,927,000 $209,307,000 $-28,631,000 $-9,913,000
2021 $3,846,196,000 $486,819,000 $396,569,000 $17,935,000 $190,874,000 $-109,336,000 $-18,777,000
2020 $3,900,106,000 $534,852,000 $424,027,000 $302,106,000 $225,806,000 $-288,189,000 $-44,093,000
2019 $4,075,969,000 $580,417,000 $468,007,000 $27,089,000 $234,230,000 $-35,612,000 $67,959,000
2018 $4,098,521,000 $544,345,000 $491,791,000 $139,958,000 $227,349,000 $-193,074,000 $-180,231,000
2017 $3,995,448,000 $520,493,000 $416,951,000 $126,037,000 $182,017,000 $-253,558,000 $8,260,000