Recent Annual Filings for BGS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,994,052,000 $1,932,454,000 $2,262,963,000 $-258,591,000 $130,914,000 $-92,963,000 $10,266,000
2023 $3,463,290,000 $2,062,313,000 $2,129,446,000 $-54,252,000 $247,759,000 $-333,691,000 $-4,339,000
2022 $3,841,609,000 $2,163,000,000 $2,181,907,000 $-2,550,000 $5,963,000 $45,342,000 $12,159,000
2020 $3,767,570,000 $1,967,909,000 $1,790,547,000 $128,288,000 $281,477,000 $327,952,000 $40,536,000
2019 $3,227,590,000 $1,660,414,000 $1,554,722,000 $67,997,000 $46,504,000 $77,713,000 $-522,000
2018 $3,054,799,000 $1,700,764,000 $1,478,487,000 $169,689,000 $209,456,000 $-753,327,000 $-196,283,000
2017 $3,561,038,000 $1,668,056,000 $1,519,994,000 $216,071,000 $37,799,000 $359,336,000 $177,673,000
2016 $3,043,505,000 $1,391,257,000 $1,214,191,000 $102,757,000 $289,661,000 $216,005,000 $23,587,000