Recent Annual Filings for BUSE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,046,722,000 $462,293,000 $308,989,000 $125,455,000 $178,267,000 $-858,092,000 $-21,922,000
2023 $12,283,415,000 $479,373,000 $325,469,000 $177,040,000 $173,390,000 $-231,960,000 $492,417,000
2022 $12,336,677,000 $359,986,000 $198,249,000 $-121,209,000 $165,787,000 $-483,862,000 $-608,931,000
2021 $12,859,689,000 $298,800,000 $141,977,000 $66,382,000 $162,012,000 $814,736,000 $147,558,000
2020 $10,544,047,000 $326,598,000 $198,392,000 $118,693,000 $169,299,000 $725,614,000 $159,249,000
2019 $9,695,729,000 $356,234,000 $221,796,000 $124,725,000 $80,800,000 $143,557,000 $289,315,000
2018 $7,702,357,000 $286,033,000 $152,106,000 $95,531,000 $202,547,000 $-260,496,000 $-113,299,000
2017 $7,860,640,000 $224,302,000 $116,191,000 $59,880,000 $253,358,000 $227,058,000 $186,566,000