Recent Annual Filings for BAFN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,288,297,000 $38,026,000 $21,039,000 $12,628,000 $390,534,000 $144,802,000 $19,403,000
2023 $1,117,766,000 $36,431,000 $28,397,000 $6,445,000 $454,797,000 $178,818,000 $-7,661,000
2022 $938,895,000 $30,000,000 $22,962,000 $-3,653,000 $440,251,000 $26,673,000 $-43,681,000
2021 $917,095,000 $40,243,000 $7,765,000 $24,198,000 $101,212,000 $-648,725,000 $54,348,000