Recent Annual Filings for BSY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,399,807,000 $1,353,095,000 $1,060,040,000 $215,300,000 $435,292,000 $-289,850,000 $-4,403,000
2023 $3,319,850,000 $1,228,413,000 $1,044,886,000 $4,753,000 $416,696,000 $-359,074,000 $-3,272,000
2022 $3,165,005,000 $1,099,082,000 $900,807,000 $2,034,000 $274,324,000 $243,034,000 $-257,653,000
2021 $2,659,243,000 $965,046,000 $871,717,000 $27,651,000 $288,024,000 $982,582,000 $207,331,000
2020 $1,126,035,000 $801,544,000 $633,924,000 $124,215,000 $258,340,000 $-136,511,000 $905,000