Recent Annual Filings for BLKB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,912,279,000 $1,105,432,000 $1,087,788,000 $-8,806,000 $199,634,000 $-142,965,000 $-7,722,000
2022 $2,992,703,000 $1,058,105,000 $1,113,680,000 $-42,991,000 $203,893,000 $-25,689,000 $92,655,000
2021 $2,971,617,000 $927,740,000 $920,657,000 $14,717,000 $213,661,000 $264,108,000 $6,496,000
2020 $2,044,734,000 $913,219,000 $891,605,000 $10,510,000 $147,955,000 $-10,679,000 $65,429,000
2019 $1,992,963,000 $900,423,000 $889,838,000 $11,728,000 $182,477,000 $111,213,000 $126,471,000
2018 $1,615,305,000 $848,606,000 $803,984,000 $40,206,000 $201,385,000 $-291,908,000 $-188,314,000
2017 $1,759,426,000 $788,306,000 $734,112,000 $65,741,000 $176,290,000 $278,641,000 $270,051,000
2016 $1,310,210,000 $730,815,000 $679,889,000 $41,883,000 $153,628,000 $-104,546,000 $1,540,000