Recent Annual Filings for BKD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,573,435,000 $3,015,829,000 $3,196,115,000 $-189,070,000 $162,923,000 $-174,439,000 $-124,880,000
2022 $5,937,062,000 $2,825,379,000 $3,065,278,000 $-238,340,000 $3,281,000 $100,382,000 $36,234,000
2021 $6,410,467,000 $2,758,259,000 $2,975,195,000 $-99,364,000 $-94,634,000 $-113,657,000 $-26,834,000
2020 $6,901,758,000 $3,540,195,000 $3,637,887,000 $81,945,000 $205,649,000 $382,913,000 $163,451,000
2019 $7,194,433,000 $4,057,088,000 $4,101,586,000 $-268,492,000 $216,412,000 $-139,394,000 $-148,521,000
2018 $6,467,260,000 $4,531,426,000 $5,125,675,000 $-528,352,000 $203,961,000 $-325,063,000 $167,672,000
2017 $7,675,449,000 $4,747,116,000 $5,017,161,000 $-571,606,000 $366,664,000 $240,893,000 $6,250,000
2016 $9,217,687,000 $4,976,980,000 $5,008,063,000 $-404,636,000 $365,732,000 $-414,189,000 $128,368,000