Recent Annual Filings for BGC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,175,937,000 $2,025,401,000 $1,967,692,000 $46,382,000 $405,203,000 $-146,880,000 $167,616,000
2017 $2,235,300,000 $3,837,200,000 $3,876,100,000 $12,200,000 $-39,000,000 $98,500,000 $-16,400,000
2016 $2,241,600,000 $3,858,400,000 $3,956,500,000 $-39,000,000 $154,600,000 $-165,300,000 $-11,300,000
2015 $2,466,700,000 $4,225,100,000 $4,364,400,000 $-220,900,000 $198,900,000 $-259,300,000 $-93,400,000
2014 $3,366,700,000 $5,979,800,000 $6,615,900,000 $-773,600,000 $133,200,000 $-123,100,000 $-213,000,000
2013 $4,578,900,000 $6,421,200,000 $6,394,200,000 $-24,700,000 $38,200,000 $-122,400,000 $-203,500,000
2012 $4,919,900,000 $6,014,300,000 $5,932,000,000 $3,300,000 $288,600,000 $289,600,000 $204,100,000
2011 $4,370,400,000 $5,866,700,000 $5,741,900,000 $-39,400,000 $97,300,000 $-8,500,000 $-24,600,000