Recent Annual Filings for BHE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,139,464,000 $2,656,105,000 $2,572,210,000 $55,946,000 $189,225,000 $-109,106,000 $44,814,000
2023 $2,274,755,000 $2,838,976,000 $2,757,756,000 $66,688,000 $174,294,000 $-23,578,000 $75,783,000
2022 $2,227,331,000 $2,886,331,000 $2,801,989,000 $69,154,000 $-177,467,000 $159,229,000 $-64,319,000
2021 $1,903,880,000 $2,255,319,000 $2,209,912,000 $35,263,000 $-2,622,000 $-73,952,000 $-124,241,000
2020 $1,744,235,000 $2,053,131,000 $2,035,838,000 $14,163,000 $120,438,000 $-57,526,000 $32,034,000
2019 $1,759,874,000 $2,268,095,000 $2,240,826,000 $17,790,000 $93,136,000 $-152,837,000 $-94,146,000
2018 $1,899,783,000 $2,566,465,000 $2,510,924,000 $19,842,000 $76,687,000 $-290,967,000 $-284,444,000
2017 $2,097,317,000 $2,466,811,000 $2,394,029,000 $-25,938,000 $145,842,000 $-31,352,000 $61,113,000