Recent Annual Filings for BKU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $35,241,742,000 $20,226,000 $-296,123,000 $305,347,000 $433,780,000 $-940,661,000 $-97,167,000
2023 $35,761,607,000 $21,682,000 $-215,402,000 $259,155,000 $657,496,000 $-1,622,434,000 $15,636,000
2022 $37,026,712,000 $23,402,000 $-351,730,000 $-136,994,000 $1,293,821,000 $1,084,369,000 $257,790,000
2021 $35,815,396,000 $21,685,000 $-427,700,000 $448,196,000 $1,220,175,000 $334,871,000 $-82,859,000
2020 $35,010,493,000 $16,496,000 $-232,863,000 $180,528,000 $864,168,000 $1,939,590,000 $183,043,000
2019 $32,871,293,000 $16,539,000 $-387,457,000 $276,398,000 $635,706,000 $272,390,000 $-167,400,000
2018 $32,164,326,000 $1,449,144,000 $1,033,494,000 $265,851,000 $824,252,000 $1,404,770,000 $187,491,000
2017 $30,346,986,000 $1,204,461,000 $800,000,000 $628,012,000 $318,626,000 $1,880,219,000 $-253,731,000