Recent Annual Filings for BYD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,391,815,000 $3,930,194,000 $3,002,417,000 $576,648,000 $957,075,000 $-509,501,000 $13,662,000
2023 $6,273,126,000 $3,738,492,000 $2,836,661,000 $620,307,000 $914,516,000 $-637,248,000 $12,938,000
2022 $6,311,127,000 $3,555,377,000 $2,574,153,000 $638,175,000 $976,111,000 $-615,852,000 $-62,053,000
2021 $6,224,169,000 $3,369,810,000 $2,469,706,000 $463,516,000 $1,010,411,000 $-1,058,702,000 $-177,871,000
2020 $6,558,948,000 $2,178,490,000 $2,164,227,000 $-134,020,000 $289,032,000 $146,700,000 $264,551,000
2019 $6,650,145,000 $3,326,119,000 $2,853,551,000 $158,171,000 $548,992,000 $-320,315,000 $-2,754,000
2018 $5,756,339,000 $2,626,730,000 $2,271,446,000 $113,853,000 $434,527,000 $746,241,000 $45,441,000
2017 $4,685,930,000 $2,383,707,000 $2,040,212,000 $189,626,000 $414,864,000 $-215,336,000 $9,242,000