Recent Annual Filings for BV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,391,800,000 $2,767,100,000 $2,670,600,000 $47,800,000 $205,600,000 $-126,600,000 $73,400,000
2023 $3,352,200,000 $2,816,000,000 $2,819,100,000 $7,400,000 $129,900,000 $-21,600,000 $46,900,000
2022 $3,305,500,000 $2,774,600,000 $2,755,000,000 $17,500,000 $106,900,000 $-16,800,000 $-103,600,000
2021 $3,237,600,000 $2,553,600,000 $2,502,700,000 $51,700,000 $148,400,000 $-23,100,000 $-33,400,000
2020 $3,071,000,000 $2,346,000,000 $2,397,200,000 $-36,800,000 $245,100,000 $-18,300,000 $118,000,000
2019 $2,928,600,000 $2,404,600,000 $2,347,400,000 $43,100,000 $169,700,000 $-20,300,000 $3,900,000
2018 $2,891,898,000 $2,353,603,000 $2,434,938,000 $-1,463,000 $180,383,000 $21,332,000 $22,445,000
2017 $321,955,000 $201,235,000 $216,623,000 $-16,745,000 $14,765,000 $-8,214,000 $8,531,000