Recent Annual Filings for BHR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,136,059,000 $728,404,000 $687,819,000 $19,019,000 $66,817,000 $-83,772,000 $18,554,000
2023 $2,226,824,000 $739,343,000 $677,670,000 $-30,628,000 $84,711,000 $-156,838,000 $-149,193,000
2022 $2,397,714,000 $669,585,000 $601,192,000 $19,348,000 $109,483,000 $345,057,000 $52,322,000
2021 $1,879,522,000 $427,542,000 $426,789,000 $-32,911,000 $63,950,000 $127,950,000 $150,224,000
2020 $1,674,021,000 $226,974,000 $316,974,000 $-124,677,000 $-50,287,000 $49,595,000 $-17,233,000
2019 $1,758,947,000 $487,614,000 $448,375,000 $1,196,000 $66,262,000 $32,058,000 $-128,105,000
2018 $1,636,487,000 $431,398,000 $381,311,000 $2,585,000 $70,733,000 $169,237,000 $73,146,000