Recent Annual Filings for BK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $409,953,000,000 $17,502,000,000 $4,361,000,000 $5,912,000,000 $-3,519,000,000 $-3,187,000,000
2022 $405,783,000,000 $16,377,000,000 $-1,206,000,000 $15,068,000,000 $-33,654,000,000 $1,646,000,000
2021 $444,438,000,000 $15,931,000,000 $2,545,000,000 $2,838,000,000 $-21,962,000,000 $464,000,000
2020 $469,633,000,000 $15,808,000,000 $5,286,000,000 $5,038,000,000 $75,508,000,000 $2,152,000,000
2019 $381,508,000,000 $16,462,000,000 $5,093,000,000 $96,000,000 $9,459,000,000 $-991,000,000
2018 $362,873,000,000 $6,432,000,000 $3,431,000,000 $5,996,000,000 $-8,098,000,000 $1,125,000,000
2017 $371,758,000,000 $4,382,000,000 $5,537,000,000 $4,641,000,000 $26,780,000,000 $560,000,000
2016 $333,469,000,000 $3,575,000,000 $2,352,000,000 $6,246,000,000 $-59,050,000,000 $-1,715,000,000