Recent Annual Filings for BRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $713,463,000 $95,630,000 $107,942,000 $-9,636,000 $24,143,000 $3,568,000 $8,804,000
2023 $709,963,000 $93,617,000 $107,899,000 $4,015,000 $19,606,000 $-32,231,000 $4,054,000
2022 $732,118,000 $70,527,000 $85,538,000 $50,099,000 $15,025,000 $-13,422,000 $-17,768,000
2021 $459,538,000 $32,057,000 $42,125,000 $29,272,000 $-529,000 $32,863,000 $10,236,000
2020 $365,741,000 $28,102,000 $41,562,000 $-19,744,000 $-1,755,000 $-6,814,000 $-3,733,000
2019 $390,610,000 $27,761,000 $36,135,000 $1,670,000 $8,648,000 $-30,885,000 $699,000
2018 $1,153,364,000 $119,635,000 $139,768,000 $50,347,000 $38,588,000 $27,233,000 $14,977,000
2017 $993,897,000 $105,771,000 $119,337,000 $38,675,000 $13,091,000 $48,770,000 $-15,016,000