Recent Annual Filings for BPMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,179,813,000 $508,824,000 $720,868,000 $-67,145,000 $-192,586,000 $273,111,000 $33,024,000
2023 $1,049,250,000 $249,380,000 $735,657,000 $-500,036,000 $-436,847,000 $119,225,000 $-43,582,000
2022 $1,349,902,000 $204,036,000 $741,554,000 $-563,827,000 $-502,277,000 $561,810,000 $-90,008,000
2021 $1,252,225,000 $180,080,000 $822,061,000 $-643,004,000 $-298,653,000 $50,716,000 $-474,685,000
2020 $1,718,393,000 $793,735,000 $485,028,000 $311,202,000 $387,035,000 $617,759,000 $570,200,000
2019 $707,694,000 $66,512,000 $414,206,000 $-350,048,000 $-278,015,000 $340,638,000 $46,175,000
2018 $540,124,000 $44,521,000 $281,163,000 $-236,553,000 $-175,009,000 $4,454,000 $-331,643,000
2017 $715,737,000 $21,426,000 $169,545,000 $-148,370,000 $-119,865,000 $543,948,000 $348,235,000