Recent Annual Filings for BRY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,517,686,000 $783,841,000 $709,443,000 $19,251,000 $210,220,000 $-79,463,000 $25,201,000
2023 $1,594,158,000 $863,454,000 $812,386,000 $37,400,000 $198,657,000 $-64,800,000 $-41,415,000
2022 $1,631,030,000 $1,055,450,000 $679,550,000 $250,168,000 $360,941,000 $-165,422,000 $30,967,000
2021 $1,456,479,000 $701,349,000 $526,868,000 $-15,542,000 $122,488,000 $-18,975,000 $-65,274,000
2020 $1,419,810,000 $523,833,000 $759,623,000 $-262,895,000 $196,529,000 $-22,352,000 $80,557,000
2019 $1,690,198,000 $559,405,000 $517,836,000 $43,539,000 $241,829,000 $-85,484,000 $-68,680,000
2018 $1,692,263,000 $586,557,000 $385,705,000 $147,102,000 $103,100,000 $15,911,000 $-58,000
2012 $3,325,402,000 $978,599,000 $718,939,000 $177,056,000 $501,439,000 $256,747,000 $14,000