Recent Annual Filings for BNL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,216,417,000 $431,800,000 $267,907,000 $169,322,000 $276,253,000 $-221,189,000 $-4,639,000
2023 $5,268,735,000 $442,888,000 $251,901,000 $147,902,000 $271,074,000 $-334,820,000 $-39,408,000
2022 $5,457,609,000 $407,513,000 $219,490,000 $222,549,000 $255,914,000 $636,000,000 $32,271,000
2021 $4,618,648,000 $382,876,000 $215,129,000 $149,579,000 $244,937,000 $254,408,000 $-82,959,000
2020 $4,258,483,000 $321,637,000 $200,964,000 $5,566,000 $179,028,000 $-28,375,000 $90,417,000