Recent Annual Filings for BH.A

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $849,422,000 $365,318,000 $322,122,000 $55,811,000 $73,002,000 $-16,132,000 $-9,151,000
2022 $828,474,000 $368,231,000 $331,912,000 $-33,188,000 $127,825,000 $3,860,000 $-4,882,000
2021 $894,807,000 $366,106,000 $341,193,000 $35,102,000 $228,767,000 $-156,157,000 $14,021,000
2020 $1,017,968,000 $433,683,000 $444,496,000 $-36,710,000 $117,556,000 $-29,109,000 $-41,030,000
2019 $668,838,000 $671,572,000 $45,380,000
2018 $809,894,000 $813,666,000 $19,392,000