Recent Annual Filings for BW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $726,987,000 $717,333,000 $692,249,000 $-80,078,000 $-118,735,000 $69,734,000 $59,695,000
2023 $775,698,000 $999,354,000 $979,455,000 $-190,546,000 $-42,270,000 $8,556,000 $-42,091,000
2022 $942,655,000 $889,815,000 $893,996,000 $-40,548,000 $-30,637,000 $-11,165,000 $-113,255,000
2021 $913,265,000 $723,363,000 $702,542,000 $25,106,000 $-111,196,000 $302,812,000 $159,292,000
2020 $591,792,000 $566,317,000 $568,054,000 $-64,613,000 $-40,806,000 $44,098,000 $10,482,000
2019 $626,519,000 $859,111,000 $888,493,000 $-115,681,000 $-176,317,000 $167,018,000 $-3,338,000
2018 $745,497,000 $1,062,388,000 $1,477,385,000 $-713,860,000 $-281,885,000 $82,612,000 $-22,368,000
2017 $1,322,229,000 $1,557,735,000 $1,829,433,000 $-364,962,000 $-189,833,000 $206,125,000 $-39,220,000