Recent Annual Filings for BKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $36,945,000,000 $25,506,000,000 $23,189,000,000 $2,145,000,000 $3,062,000,000 $-2,028,000,000 $158,000,000
2022 $34,181,000,000 $21,156,000,000 $21,134,000,000 $-859,000,000 $1,888,000,000 $-1,592,000,000 $-1,365,000,000
2021 $35,308,000,000 $20,502,000,000 $20,074,000,000 $-481,000,000 $2,374,000,000 $-2,143,000,000 $-279,000,000
2020 $38,007,000,000 $20,705,000,000 $35,907,000,000 $-15,718,000,000 $1,304,000,000 $225,000,000 $883,000,000
2019 $53,369,000,000 $23,838,000,000 $22,764,000,000 $263,000,000 $2,126,000,000 $-1,534,000,000 $-474,000,000
2012 $373,409,000 $593,397,000 $586,656,000 $2,923,000 $35,027,000 $-1,409,000 $41,317,000
2011 $379,874,000 $538,424,000 $513,524,000 $17,294,000 $15,716,000 $63,000 $-41,393,000