Recent Annual Filings for BAND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $989,166,000 $748,487,000 $768,546,000 $-29,739,000 $83,883,000 $-131,273,000 $-50,073,000
2023 $1,101,048,000 $601,117,000 $636,574,000 $-923,000 $39,001,000 $-52,775,000 $17,685,000
2022 $929,318,000 $573,152,000 $597,476,000 $-11,604,000 $34,906,000 $-120,005,000 $-217,667,000
2021 $1,065,539,000 $490,907,000 $493,144,000 $-68,343,000 $40,803,000 $207,027,000 $250,852,000
2020 $890,608,000 $343,113,000 $372,085,000 $-16,077,000 $4,518,000 $346,891,000 $-103,567,000
2019 $341,416,000 $232,594,000 $247,818,000 $2,536,000 $-1,253,000 $152,418,000 $143,503,000
2018 $150,420,000 $204,113,000 $197,060,000 $17,922,000 $24,633,000 $10,681,000 $3,631,000
2017 $104,494,000 $162,955,000 $150,066,000 $5,971,000 $14,623,000 $24,179,000 $30,839,000