Recent Annual Filings for BJRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,041,064,000 $1,357,302,000 $1,343,222,000 $16,687,000 $101,472,000 $-27,553,000 $-2,974,000
2022 $1,045,922,000 $1,283,926,000 $1,289,406,000 $4,076,000 $51,122,000 $7,131,000 $-13,654,000
2021 $1,035,166,000 $1,087,038,000 $1,103,545,000 $-3,606,000 $64,285,000 $-35,254,000 $-13,137,000
2020 $1,059,424,000 $778,510,000 $864,941,000 $-57,885,000 $40,541,000 $24,445,000 $29,270,000
2019 $1,072,084,000 $1,161,450,000 $1,112,331,000 $45,238,000 $115,999,000 $-44,711,000 $-6,830,000
2018 $684,958,000 $1,031,782,000 $993,878,000 $44,780,000 $107,036,000 $-52,631,000 $1,574,000
2016 $708,879,000 $993,052,000 $931,411,000 $45,557,000 $138,359,000 $-45,350,000 $-11,843,000
2015 $681,665,000 $919,597,000 $856,535,000 $45,325,000 $127,224,000 $-40,711,000 $3,921,000