Recent Annual Filings for BSM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,218,906,000 $433,699,000 $160,593,000 $271,326,000 $389,043,000 $-344,570,000 $-67,763,000
2023 $1,266,884,000 $592,216,000 $168,620,000 $422,549,000 $521,251,000 $-435,536,000 $65,975,000
2022 $1,271,082,000 $663,604,000 $187,124,000 $476,480,000 $424,983,000 $-428,337,000 $-4,569,000
2021 $1,247,921,000 $359,260,000 $177,273,000 $181,987,000 $256,880,000 $-235,483,000 $7,080,000
2020 $1,243,978,000 $342,751,000 $220,932,000 $121,819,000 $281,809,000 $-439,378,000 $-6,323,000
2019 $1,545,208,000 $487,821,000 $273,453,000 $214,368,000 $412,720,000 $-361,392,000 $2,705,000
2018 $1,750,124,000 $609,568,000 $314,008,000 $295,560,000 $385,378,000 $-221,802,000 $-228,000
2017 $1,576,451,000 $429,659,000 $272,506,000 $157,153,000 $281,852,000 $168,267,000 $-4,130,000