Recent Annual Filings for BLDR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,583,086,000 $16,400,492,000 $15,012,967,000 $1,077,898,000 $1,872,692,000 $-1,074,505,000 $87,468,000
2023 $10,499,452,000 $17,097,330,000 $15,113,126,000 $1,540,555,000 $2,306,872,000 $-1,652,868,000 $-14,289,000
2022 $10,595,160,000 $22,726,418,000 $19,154,585,000 $2,749,369,000 $3,599,231,000 $-2,603,910,000 $37,842,000
2021 $10,714,343,000 $19,893,856,000 $17,642,309,000 $1,725,416,000 $1,743,549,000 $-780,112,000 $-381,203,000
2020 $4,173,671,000 $8,558,874,000 $8,150,708,000 $313,537,000 $260,067,000 $285,868,000 $409,710,000
2019 $3,249,490,000 $7,280,431,000 $6,997,676,000 $221,809,000 $504,046,000 $-300,897,000 $3,969,000
2018 $2,932,309,000 $7,724,771,000 $7,464,016,000 $205,191,000 $282,830,000 $-233,578,000 $-47,406,000
2017 $3,006,124,000 $7,034,209,000 $6,942,280,000 $38,781,000 $178,528,000 $-76,018,000 $43,084,000