Recent Annual Filings for BE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,413,677,000 $1,333,470,000 $1,639,513,000 $-308,367,000 $-372,531,000 $683,349,000 $226,812,000
2022 $1,946,627,000 $1,199,125,000 $1,513,114,000 $-315,880,000 $-191,723,000 $211,364,000 $-96,748,000
2021 $1,725,571,000 $972,176,000 $1,164,499,000 $-178,721,000 $-60,681,000 $306,375,000 $198,404,000
2020 $1,454,387,000 $794,247,000 $973,078,000 $-157,581,000 $-98,796,000 $176,031,000 $39,322,000
2019 $1,322,591,000 $785,177,000 $1,108,010,000 $-323,747,000 $163,770,000 $-120,314,000 $96,903,000
2018 $1,389,668,000 $742,038,000 $999,990,000 $-241,460,000 $-58,417,000 $253,119,000 $99,873,000