Recent Annual Filings for LBRDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,641,000,000 $981,000,000 $908,000,000 $731,000,000 $16,000,000 $-390,000,000 $-224,000,000
2022 $15,142,000,000 $975,000,000 $1,014,000,000 $1,252,000,000 $-56,000,000 $-2,797,000,000 $194,000,000
2021 $16,968,000,000 $988,000,000 $1,086,000,000 $731,000,000 $3,000,000 $-5,292,000,000 $-1,227,000,000
2020 $21,371,124,000 $50,706,000 $110,361,000 $404,886,000 $-95,742,000 $903,798,000 $1,383,568,000
2019 $12,256,342,000 $14,859,000 $44,136,000 $117,596,000 $-37,563,000 $4,684,000 $-33,379,000
2018 $12,098,437,000 $22,256,000 $34,270,000 $69,307,000 $-26,260,000 $28,147,000 $1,846,000
2017 $11,931,789,000 $13,092,000 $38,570,000 $2,034,435,000 $-30,031,000 $-94,384,000 $-124,471,000
2016 $9,590,960,000 $30,586,000 $51,746,000 $916,054,000 $-11,898,000 $4,553,347,000 $-449,351,000