Recent Annual Filings for BRBS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,737,260,000 $160,320,000 $176,827,000 $-12,791,000 $-6,310,000 $-357,882,000 $54,841,000
2023 $3,117,554,000 $168,995,000 $227,839,000 $-51,728,000 $44,056,000 $23,034,000 $43,877,000
2022 $3,141,045,000 $127,476,000 $91,655,000 $-13,555,000 $93,931,000 $480,978,000 $-53,274,000
2021 $2,665,139,000 $103,546,000 $35,369,000 $48,584,000 $59,308,000 $-99,094,000 $12,698,000
2020 $1,498,258,000 $111,284,000 $88,787,000 $17,732,000 $-108,340,000 $507,144,000 $57,919,000
2019 $960,811,000 $49,683,000 $44,106,000 $5,451,000 $-15,085,000 $160,265,000 $45,000,000