Recent Annual Filings for BFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,495,060,000 $206,405,000 $126,892,000 $64,958,000 $65,847,000 $200,954,000 $13,864,000
2023 $4,221,842,000 $182,483,000 $83,689,000 $81,334,000 $52,945,000 $-193,824,000 $128,117,000
2022 $3,660,432,000 $116,534,000 $56,901,000 $26,039,000 $40,008,000 $-39,711,000 $-177,509,000
2021 $2,937,552,000 $98,386,000 $38,419,000 $43,294,000 $40,283,000 $180,244,000 $126,641,000
2020 $2,718,016,000 $100,700,000 $50,823,000 $41,311,000 $43,963,000 $245,832,000 $83,767,000
2019 $2,210,168,000 $89,165,000 $54,876,000 $29,554,000 $22,648,000 $62,214,000 $-21,291,000
2018 $1,793,165,000 $77,944,000 $45,891,000 $24,113,000 $23,052,000 $12,812,000 $5,766,000