Recent Annual Filings for BR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,242,400,000 $6,506,800,000 $5,489,700,000 $651,100,000 $1,056,200,000 $-855,500,000 $52,100,000
2023 $8,233,200,000 $6,060,900,000 $5,124,500,000 $572,200,000 $823,300,000 $-714,700,000 $27,600,000
2022 $8,168,800,000 $5,709,100,000 $4,949,200,000 $303,600,000 $443,500,000 $-370,800,000 $-49,900,000
2021 $8,119,800,000 $4,993,700,000 $4,315,000,000 $657,200,000 $640,100,000 $1,797,800,000 $-202,000,000
2020 $4,889,800,000 $4,529,000,000 $3,904,100,000 $433,300,000 $598,200,000 $51,200,000 $203,400,000
2019 $3,880,700,000 $4,362,200,000 $3,709,500,000 $464,300,000 $617,000,000 $-173,100,000 $9,200,000
2018 $3,304,700,000 $4,329,900,000 $3,735,000,000 $431,900,000 $693,600,000 $-449,900,000 $-7,200,000
2017 $3,149,800,000 $4,142,600,000 $3,611,000,000 $309,200,000 $515,900,000 $-311,700,000 $-456,700,000