Recent Annual Filings for BRSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,198,254,000 $415,081,000 $256,942,000 $-17,499,000 $137,624,000 $-558,600,000 $-36,739,000
2022 $4,750,389,000 $364,618,000 $208,779,000 $37,489,000 $125,277,000 $-161,451,000 $52,265,000
2021 $5,638,369,000 $194,306,000 $271,015,000 $-152,002,000 $-21,270,000 $384,356,000 $-193,467,000