Recent Annual Filings for BXP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $26,026,149,000 $3,273,569,000 $2,239,227,000 $283,722,000 $1,301,520,000 $767,916,000 $875,755,000
2022 $24,207,669,000 $3,108,581,000 $2,050,056,000 $1,046,687,000 $1,282,399,000 $556,057,000 $235,654,000
2021 $22,365,258,000 $2,888,621,000 $1,920,581,000 $647,180,000 $1,133,227,000 $-1,311,442,000 $-1,218,171,000
2020 $22,858,190,000 $2,765,686,000 $1,860,364,000 $1,017,540,000 $1,156,840,000 $484,322,000 $1,027,443,000
2019 $21,284,905,000 $2,960,562,000 $1,914,925,000 $651,912,000 $1,181,165,000 $-113,379,000 $52,695,000
2018 $20,256,477,000 $2,717,076,000 $1,791,579,000 $716,131,000 $1,150,245,000 $82,453,000 $133,822,000
2017 $19,372,233,000 $2,602,076,000 $1,693,966,000 $562,381,000 $907,445,000 $68,222,000 $77,853,000
2016 $18,851,643,000 $2,550,820,000 $1,725,036,000 $526,584,000 $1,036,874,000 $-74,621,000 $-366,804,000