Recent Annual Filings for BX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $40,287,530,000 $8,022,841,000 $4,981,130,000 $2,503,951,000 $4,056,906,000 $-5,053,895,000 $-1,221,652,000
2022 $42,524,227,000 $8,517,673,000 $4,973,025,000 $2,956,386,000 $6,336,253,000 $-3,794,455,000 $2,293,983,000
2021 $41,196,408,000 $22,577,148,000 $9,476,617,000 $12,369,181,000 $3,985,988,000 $-3,776,590,000 $135,276,000
2020 $26,269,252,000 $6,101,927,000 $3,479,566,000 $2,284,705,000 $1,935,945,000 $-2,244,036,000 $-459,195,000
2019 $32,585,506,000 $7,338,270,000 $3,964,651,000 $3,880,299,000 $1,963,107,000 $-1,921,379,000 $-21,510,000
2018 $28,924,650,000 $6,833,259,000 $3,512,040,000 $3,230,045,000 $45,742,000 $-1,330,186,000 $-1,391,328,000
2017 $34,428,910,000 $7,119,053,000 $3,727,404,000 $3,454,320,000 $-2,448,740,000 $2,771,339,000 $155,244,000
2016 $26,403,337,000 $5,125,834,000 $2,928,574,000 $2,227,454,000 $-541,286,000 $570,170,000 $-71,000