Recent Annual Filings for BLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,735,426,000 $5,329,803,000 $4,489,015,000 $608,061,000 $776,026,000 $-1,016,272,000 $-448,247,000
2023 $5,162,851,000 $5,194,694,000 $4,369,211,000 $621,509,000 $849,409,000 $-43,836,000 $608,496,000
2022 $4,606,831,000 $5,008,744,000 $4,266,609,000 $540,703,000 $495,801,000 $-300,073,000 $100,290,000
2021 $4,258,530,000 $3,486,207,000 $3,052,764,000 $317,382,000 $403,025,000 $729,007,000 $-190,228,000
2020 $2,815,283,000 $2,718,038,000 $2,394,948,000 $247,023,000 $357,884,000 $-90,801,000 $145,200,000
2019 $2,603,963,000 $2,624,121,000 $2,370,343,000 $190,995,000 $271,777,000 $-137,757,000 $83,878,000
2018 $2,454,531,000 $2,384,249,000 $2,203,425,000 $134,752,000 $167,172,000 $429,055,000 $44,408,000
2017 $1,749,549,000 $1,906,266,000 $1,778,226,000 $158,133,000 $113,192,000 $-82,450,000 $-77,854,000