Recent Annual Filings for IBP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,981,300,000 $2,778,600,000 $2,445,500,000 $236,800,000 $340,200,000 $-79,900,000 $156,900,000
2022 $1,778,932,000 $2,669,844,000 $2,366,537,000 $264,215,000 $277,904,000 $-223,093,000 $-103,858,000
2021 $1,653,202,000 $1,968,650,000 $1,813,175,000 $127,299,000 $138,314,000 $242,090,000 $101,965,000
2020 $1,187,676,000 $1,653,225,000 $1,522,048,000 $95,619,000 $180,789,000 $-49,364,000 $53,631,000
2019 $1,099,479,000 $1,511,629,000 $1,419,024,000 $61,447,000 $123,067,000 $96,113,000 $87,447,000
2018 $834,658,000 $1,336,432,000 $1,264,246,000 $53,698,000 $96,633,000 $5,368,000 $27,932,000
2017 $738,746,000 $1,132,927,000 $1,077,107,000 $41,647,000 $68,772,000 $179,699,000 $48,028,000
2016 $462,095,000 $862,980,000 $803,370,000 $38,436,000 $73,266,000 $13,995,000 $7,664,000