Recent Annual Filings for BOOT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,018,021,000 $1,911,104,000 $1,670,987,000 $180,942,000 $147,540,000 $-5,379,000 $-6,077,000
2024 $1,705,592,000 $1,667,009,000 $1,469,637,000 $146,996,000 $236,080,000 $-59,644,000 $57,654,000
2023 $1,517,381,000 $1,657,615,000 $1,431,737,000 $170,553,000 $88,887,000 $33,166,000 $-2,481,000
2022 $1,199,855,000 $1,488,256,000 $1,235,663,000 $192,450,000 $88,864,000 $-80,895,000 $-52,474,000
2021 $933,581,000 $893,491,000 $816,241,000 $59,386,000 $155,922,000 $-123,913,000 $3,585,000
2020 $924,711,000 $845,575,000 $785,262,000 $47,949,000 $25,317,000 $67,798,000 $52,949,000
2019 $636,075,000 $776,854,000 $728,858,000 $39,022,000 $63,260,000 $-23,897,000 $7,598,000
2018 $587,941,000 $677,949,000 $646,770,000 $28,879,000 $44,200,000 $-19,666,000 $981,000