Recent Annual Filings for BZH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,591,527,000 $2,330,197,000 $2,171,112,000 $140,175,000 $-137,545,000 $23,878,000 $-143,679,000
2023 $2,411,033,000 $2,206,785,000 $2,024,139,000 $158,611,000 $178,057,000 $-13,926,000 $134,461,000
2022 $2,251,963,000 $2,316,988,000 $2,042,999,000 $220,704,000 $81,074,000 $-88,680,000 $-22,315,000
2021 $2,078,810,000 $2,140,303,000 $1,996,577,000 $122,021,000 $31,656,000 $-85,852,000 $-68,385,000
2020 $2,007,480,000 $2,127,077,000 $2,055,788,000 $52,226,000 $289,095,000 $-59,197,000 $219,734,000
2019 $1,957,644,000 $2,087,739,000 $2,204,377,000 $-79,520,000 $113,635,000 $-118,964,000 $-30,454,000
2018 $2,128,102,000 $2,107,133,000 $2,057,695,000 $-45,375,000 $30,288,000 $-107,501,000 $-151,361,000
2017 $2,220,995,000 $1,916,278,000 $1,881,629,000 $31,813,000 $95,909,000 $-20,793,000 $61,333,000