Recent Annual Filings for BSRR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,729,799,000 $163,121,000 $116,657,000 $55,440,000 $53,245,000 $31,916,000 $1,471,000
2022 $3,608,590,000 $121,819,000 $76,904,000 $-34,084,000 $33,572,000 $267,027,000 $-180,397,000
2021 $3,371,014,000 $113,076,000 $55,877,000 $35,774,000 $52,656,000 $112,835,000 $186,111,000
2020 $3,220,742,000 $110,243,000 $63,720,000 $47,917,000 $40,027,000 $578,565,000 $-8,660,000
2019 $2,593,819,000 $110,947,000 $63,229,000 $48,559,000 $46,737,000 $12,498,000 $5,945,000
2018 $2,522,502,000 $101,638,000 $62,054,000 $25,341,000 $30,446,000 $161,737,000 $3,995,000
2017 $2,340,298,000 $80,924,000 $47,745,000 $19,382,000 $41,345,000 $-39,311,000 $-50,305,000
2016 $2,032,873,000 $68,505,000 $42,138,000 $13,261,000 $17,531,000 $77,578,000 $71,819,000