Recent Annual Filings for BRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,515,569,000 $1,341,393,000 $1,093,552,000 $180,654,000 $255,074,000 $-70,528,000 $98,586,000
2023 $1,389,257,000 $1,331,863,000 $1,106,167,000 $190,873,000 $209,149,000 $-163,568,000 $37,463,000
2022 $1,367,332,000 $1,302,062,000 $1,110,082,000 $96,855,000 $118,449,000 $-102,089,000 $-33,266,000
2021 $1,377,756,000 $1,144,698,000 $973,675,000 $140,183,000 $205,665,000 $-12,324,000 $-70,308,000
2020 $1,142,466,000 $1,081,299,000 $940,363,000 $117,146,000 $140,977,000 $-163,520,000 $-61,429,000
2019 $1,157,308,000 $1,160,645,000 $996,001,000 $116,405,000 $162,211,000 $-27,628,000 $97,645,000
2018 $1,056,931,000 $1,173,851,000 $1,021,836,000 $79,341,000 $143,042,000 $-90,680,000 $47,483,000
2017 $1,050,223,000 $1,113,316,000 $986,684,000 $105,708,000 $144,032,000 $-136,241,000 $-7,284,000