Recent Annual Filings for BRKL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,382,256,000 $577,287,000 $483,373,000 $84,148,000 $116,597,000 $298,736,000 $-249,932,000
2022 $9,185,836,000 $345,186,000 $205,237,000 $47,907,000 $120,761,000 $492,154,000 $55,222,000
2021 $8,602,622,000 $311,529,000 $156,938,000 $98,840,000 $133,212,000 $-371,506,000 $-107,180,000
2020 $8,942,424,000 $326,817,000 $264,740,000 $61,842,000 $112,488,000 $940,168,000 $357,127,000
2019 $7,856,853,000 $347,626,000 $231,597,000 $99,503,000 $102,719,000 $284,509,000 $-11,794,000
2018 $7,392,805,000 $313,893,000 $201,153,000 $83,041,000 $123,029,000 $493,572,000 $28,579,000
2017 $6,780,249,000 $263,050,000 $165,795,000 $52,550,000 $84,947,000 $292,375,000 $-6,652,000
2016 $6,438,129,000 $239,648,000 $154,032,000 $53,882,000 $78,098,000 $342,033,000 $-7,832,000