Recent Annual Filings for BWXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,869,924,000 $2,703,654,000 $2,378,978,000 $241,550,000 $408,428,000 $-252,785,000 $-1,044,000
2023 $2,747,065,000 $2,496,309,000 $2,164,057,000 $260,788,000 $363,701,000 $-169,371,000 $40,625,000
2022 $2,618,939,000 $2,232,834,000 $1,930,236,000 $204,547,000 $244,704,000 $13,952,000 $1,215,000
2021 $2,501,380,000 $2,124,074,000 $1,811,724,000 $310,233,000 $386,026,000 $-90,136,000 $-8,523,000
2020 $2,293,503,000 $2,123,516,000 $1,792,116,000 $294,842,000 $196,442,000 $25,046,000 $-44,102,000
2019 $1,908,913,000 $1,894,920,000 $1,598,323,000 $247,441,000 $279,368,000 $-43,713,000 $55,992,000
2018 $1,655,096,000 $1,799,889,000 $1,525,255,000 $210,947,000 $169,290,000 $-9,323,000 $-176,736,000
2017 $1,712,339,000 $1,687,738,000 $1,392,465,000 $154,008,000 $222,154,000 $-61,178,000 $77,763,000