Recent Annual Filings for BFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,126,404,000 $268,847,000 $201,325,000 $69,054,000 $121,224,000 $69,400,000 $1,892,000
2023 $1,994,137,000 $257,207,000 $188,181,000 $67,806,000 $117,727,000 $81,082,000 $-4,872,000
2022 $1,833,302,000 $245,860,000 $180,468,000 $69,354,000 $121,151,000 $-5,578,000 $-1,315,000
2021 $1,746,761,000 $239,225,000 $177,576,000 $61,649,000 $118,381,000 $-74,771,000 $-12,262,000
2020 $1,645,572,000 $225,207,000 $175,169,000 $50,316,000 $78,383,000 $-9,264,000 $12,951,000
2019 $1,618,340,000 $231,525,000 $167,329,000 $64,289,000 $115,383,000 $19,607,000 $-673,000
2018 $1,527,489,000 $227,904,000 $164,845,000 $63,653,000 $110,339,000 $21,981,000 $3,670,000
2017 $1,422,452,000 $227,285,000 $166,687,000 $61,480,000 $103,450,000 $12,442,000 $2,586,000