Recent Annual Filings for BRKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,249,900,000 $2,964,500,000 $2,420,300,000 $420,800,000 $350,100,000 $-193,400,000 $-157,100,000
2022 $3,611,800,000 $2,530,700,000 $2,116,800,000 $320,300,000 $274,400,000 $-415,300,000 $-423,000,000
2021 $3,650,000,000 $2,417,900,000 $2,024,300,000 $268,700,000 $282,400,000 $318,700,000 $386,200,000
2020 $3,049,000,000 $1,987,500,000 $1,761,700,000 $190,500,000 $332,200,000 $-161,600,000 $3,600,000
2019 $2,771,500,000 $2,072,600,000 $1,792,200,000 $155,000,000 $213,400,000 $300,000,000 $355,600,000
2018 $2,128,600,000 $1,895,600,000 $1,650,900,000 $170,800,000 $239,700,000 $-112,400,000 $-2,600,000
2017 $1,948,500,000 $1,765,900,000 $1,568,100,000 $183,900,000 $154,400,000 $-159,000,000 $-34,800,000
2016 $1,808,400,000 $1,611,300,000 $1,433,700,000 $122,500,000 $130,800,000 $-27,200,000 $75,300,000