Recent Annual Filings for BROS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,501,085,000 $1,281,015,000 $1,174,922,000 $66,449,000 $246,432,000 $125,449,000 $159,809,000
2023 $1,764,010,000 $965,776,000 $919,554,000 $9,204,000 $139,915,000 $200,732,000 $113,367,000
2022 $1,186,360,000 $739,012,000 $741,624,000 $-16,345,000 $59,883,000 $134,361,000 $1,672,000
2021 $553,700,000 $497,876,000 $611,148,000 $-119,977,000 $80,375,000 $27,580,000 $-13,134,000