Recent Annual Filings for BRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,908,914,000 $1,285,054,000 $826,018,000 $350,194,000 $624,687,000 $172,122,000 $359,788,000
2023 $8,332,716,000 $1,245,036,000 $817,231,000 $293,536,000 $588,794,000 $-428,069,000 $-2,355,000
2022 $8,435,930,000 $1,218,074,000 $779,471,000 $375,718,000 $566,382,000 $-380,413,000 $-276,484,000
2021 $8,377,393,000 $1,152,274,000 $732,292,000 $285,571,000 $552,239,000 $-293,578,000 $-72,344,000
2020 $8,342,147,000 $1,053,266,000 $734,035,000 $102,658,000 $443,101,000 $72,712,000 $348,564,000
2019 $8,142,496,000 $1,168,258,000 $893,485,000 $249,257,000 $528,672,000 $-385,850,000 $-29,242,000
2018 $8,242,421,000 $1,234,340,000 $868,056,000 $358,046,000 $541,689,000 $-1,271,304,000 $-60,012,000
2017 $9,153,926,000 $1,283,180,000 $987,748,000 $303,061,000 $551,941,000 $-491,159,000 $7,908,000