Recent Annual Filings for BXC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,577,717,000 $2,952,532,000 $2,881,845,000 $53,116,000 $85,178,000 $-62,089,000 $-16,121,000
2023 $1,537,601,000 $3,136,381,000 $3,054,495,000 $79,948,000 $306,285,000 $-56,622,000 $222,800,000
2022 $1,490,042,000 $4,450,214,000 $4,055,453,000 $294,124,000 $400,297,000 $-87,868,000 $213,740,000
2020 $1,048,130,000 $3,097,328,000 $3,002,247,000 $79,453,000 $55,019,000 $-75,740,000 $-11,561,000
2019 $971,425,000 $2,637,268,000 $2,658,876,000 $-15,090,000 $-9,565,000 $-8,880,000 $2,704,000
2018 $959,889,000 $2,862,850,000 $2,923,057,000 $-48,675,000 $41,556,000 $205,420,000 $4,243,000
2017 $494,095,000 $1,815,535,000 $1,805,950,000 $63,138,000 $-2,503,000 $-25,179,000 $-844,000
2016 $444,137,000 $1,881,043,000 $1,863,837,000 $14,208,000 $41,397,000 $-77,510,000 $732,000