Recent Annual Filings for BEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,464,500,000 $8,478,000,000 $7,654,800,000 $697,700,000 $971,300,000 $1,415,600,000 $6,500,000
2023 $30,121,200,000 $7,849,400,000 $6,433,700,000 $1,215,100,000 $1,138,700,000 $2,029,000,000 $-380,100,000
2022 $28,060,600,000 $8,275,300,000 $6,545,900,000 $1,089,800,000 $1,956,700,000 $1,585,000,000 $135,300,000
2021 $24,168,400,000 $8,425,500,000 $5,981,300,000 $2,124,600,000 $1,245,400,000 $2,030,100,000 $657,400,000
2020 $20,220,900,000 $5,566,500,000 $4,548,600,000 $811,100,000 $1,021,400,000 $194,200,000 $-2,000,100,000
2019 $14,532,200,000 $5,774,500,000 $4,126,700,000 $1,152,500,000 $201,600,000 $-40,500,000 $-953,000,000
2018 $14,383,500,000 $6,319,100,000 $4,103,900,000 $657,000,000 $2,229,700,000 $-3,761,700,000 $-1,839,100,000
2017 $17,534,000,000 $6,392,200,000 $3,843,100,000 $1,859,400,000 $1,135,400,000 $-956,000,000 $266,400,000