Recent Annual Filings for BEAM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,103,824,000 $63,518,000 $440,221,000 $-376,667,000 $-347,246,000 $7,736,000 $-154,503,000
2023 $1,459,714,000 $377,709,000 $508,870,000 $-129,493,000 $-149,195,000 $276,448,000 $199,093,000
2022 $1,341,714,000 $60,920,000 $321,098,000 $-291,468,000 $22,527,000 $111,590,000 $-327,219,000
2021 $1,474,453,000 $51,844,000 $422,482,000 $-370,679,000 $-66,268,000 $756,141,000 $395,729,000
2020 $451,677,000 $24,000 $194,616,000 $-194,617,000 $-95,741,000 $322,322,000 $126,458,000
2013 $8,584,700,000 $3,148,400,000 $2,671,000,000 $401,700,000 $423,800,000 $-468,800,000 $-88,500,000
2012 $8,636,900,000 $3,070,100,000 $2,568,100,000 $500,500,000 $378,200,000 $564,200,000 $147,400,000
2011 $7,491,800,000 $2,871,700,000 $2,702,400,000 $675,600,000 $454,500,000 $-2,002,500,000 $-646,400,000