Recent Annual Filings for BJ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $7,065,305,000 $20,501,804,000 $19,780,957,000 $534,147,000 $900,872,000 $-319,083,000 $-7,777,000
2024 $6,677,622,000 $19,968,689,000 $19,232,797,000 $522,692,000 $718,883,000 $-261,984,000 $2,134,000
2023 $6,349,956,000 $19,315,165,000 $18,624,641,000 $513,422,000 $788,165,000 $-52,628,000 $-11,521,000
2022 $5,668,894,000 $16,667,302,000 $16,109,423,000 $448,485,000 $831,655,000 $-525,226,000 $1,918,000
2021 $5,411,530,000 $15,430,017,000 $14,872,010,000 $427,088,000 $868,546,000 $-662,792,000 $13,314,000
2020 $5,269,780,000 $13,190,707,000 $12,946,738,000 $171,905,000 $355,143,000 $-176,790,000 $3,058,000
2019 $3,239,285,000 $13,007,347,000 $12,868,429,000 $113,545,000 $427,103,000 $-288,998,000 $-7,808,000
2011 $2,321,675,000 $10,877,239,000 $10,670,415,000 $96,267,000 $228,773,000 $160,000 $42,598,000