Recent Annual Filings for BRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,612,000,000 $4,805,000,000 $3,502,000,000 $903,000,000 $1,174,000,000 $-64,000,000 $212,000,000
2023 $14,883,400,000 $4,257,100,000 $3,111,000,000 $999,800,000 $1,009,500,000 $-186,700,000 $235,800,000
2022 $13,973,500,000 $3,573,400,000 $2,697,300,000 $532,800,000 $881,400,000 $1,725,400,000 $694,200,000
2021 $9,795,443,000 $3,051,398,000 $2,288,575,000 $577,695,000 $942,469,000 $-343,879,000 $201,910,000
2020 $8,966,492,000 $2,613,375,000 $1,989,276,000 $480,483,000 $721,647,000 $346,363,000 $308,940,000
2019 $7,622,821,000 $2,392,171,000 $1,866,242,000 $398,514,000 $678,180,000 $-79,216,000 $185,379,000
2018 $6,688,668,000 $2,014,246,000 $1,551,784,000 $344,255,000 $567,529,000 $337,750,000 $-46,492,000
2017 $5,747,550,000 $1,881,347,000 $1,431,625,000 $399,630,000 $441,975,000 $-336,580,000 $42,805,000