Recent Annual Filings for B

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,308,014,000 $1,450,871,000 $1,361,879,000 $41,367,000 $112,415,000 $666,562,000 $10,911,000
2022 $2,413,730,000 $1,261,868,000 $1,204,749,000 $-55,183,000 $75,559,000 $-64,829,000 $-30,781,000
2021 $2,576,820,000 $1,258,846,000 $1,108,828,000 $70,350,000 $167,806,000 $-114,666,000 $20,441,000
2020 $2,676,226,000 $1,124,391,000 $1,001,021,000 $151,555,000 $215,462,000 $-219,666,000 $-2,337,000
2019 $2,738,335,000 $1,491,118,000 $1,254,670,000 $138,355,000 $248,301,000 $-191,993,000 $-6,914,000
2018 $2,808,970,000 $1,495,900,000 $1,264,125,000 $101,416,000 $237,199,000 $215,564,000 $-44,571,000
2017 $2,365,716,000 $1,436,499,000 $1,226,221,000 $153,844,000 $203,920,000 $-63,751,000 $78,843,000
2016 $2,137,539,000 $1,230,754,000 $1,038,576,000 $78,025,000 $217,646,000 $-53,312,000 $-17,479,000