Recent Annual Filings for BL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,825,036,000 $653,336,000 $472,835,000 $167,017,000 $190,836,000 $-500,145,000 $614,784,000
2023 $2,100,765,000 $589,996,000 $428,855,000 $60,678,000 $126,613,000 $6,146,000 $70,156,000
2022 $1,943,656,000 $522,938,000 $449,751,000 $-35,965,000 $56,013,000 $1,436,000 $-338,784,000
2021 $1,817,578,000 $425,706,000 $366,449,000 $-101,218,000 $80,093,000 $599,240,000 $172,078,000
2020 $1,113,505,000 $351,737,000 $302,656,000 $-39,293,000 $54,735,000 $18,862,000 $247,411,000
2019 $1,014,552,000 $288,976,000 $257,900,000 $-31,685,000 $29,724,000 $452,512,000 $73,786,000
2018 $493,868,000 $227,788,000 $206,750,000 $-27,626,000 $16,140,000 $14,522,000 $14,685,000
2017 $440,884,000 $177,031,000 $170,605,000 $-38,083,000 $6,424,000 $9,593,000 $8,986,000