Recent Annual Filings for BHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,523,000,000 $9,625,000,000 $8,079,000,000 $-354,000,000 $1,597,000,000 $-868,000,000 $239,000,000
2023 $27,350,000,000 $8,757,000,000 $7,794,000,000 $-441,000,000 $1,032,000,000 $1,475,000,000 $371,000,000
2022 $25,686,000,000 $8,124,000,000 $7,670,000,000 $-468,000,000 $-728,000,000 $-474,000,000 $-1,528,000,000
2021 $29,202,000,000 $8,434,000,000 $7,984,000,000 $-1,067,000,000 $1,426,000,000 $-1,513,000,000 $303,000,000
2020 $31,199,000,000 $8,027,000,000 $7,351,000,000 $-604,000,000 $1,111,000,000 $-2,294,000,000 $-1,428,000,000
2019 $33,863,000,000 $8,601,000,000 $8,804,000,000 $-1,733,000,000 $1,501,000,000 $1,443,000,000 $2,521,000,000
2018 $32,492,000,000 $8,380,000,000 $10,764,000,000 $-4,388,000,000 $1,501,000,000 $-1,353,000,000 $-74,000,000