Recent Annual Filings for BFAM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,896,144,000 $2,418,257,000 $2,298,625,000 $85,751,000 $256,140,000 $-91,633,000 $37,557,000
2022 $3,798,869,000 $2,020,487,000 $1,908,305,000 $47,371,000 $188,471,000 $-121,338,000 $-213,387,000
2021 $3,640,047,000 $1,755,307,000 $1,664,959,000 $60,169,000 $227,253,000 $-230,030,000 $-123,184,000
2020 $3,726,648,000 $1,515,093,000 $1,499,441,000 $50,254,000 $209,572,000 $228,996,000 $357,273,000
2019 $3,330,420,000 $2,062,017,000 $1,839,352,000 $192,410,000 $330,353,000 $-149,128,000 $-7,286,000
2018 $2,524,306,000 $1,903,182,000 $1,711,595,000 $128,922,000 $294,747,000 $-134,193,000 $1,908,000
2017 $2,468,644,000 $1,740,905,000 $1,579,505,000 $213,115,000 $236,272,000 $-123,864,000 $8,594,000
2016 $2,359,017,000 $1,569,841,000 $1,426,644,000 $44,582,000 $213,297,000 $93,755,000 $3,094,000