Recent Annual Filings for BASE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $260,598,000 $209,466,000 $282,317,000 $-74,593,000 $-15,828,000 $9,938,000 $-10,742,000
2024 $247,752,000 $180,037,000 $258,865,000 $-79,320,000 $-26,893,000 $12,933,000 $1,466,000
2023 $253,039,000 $154,824,000 $222,280,000 $-69,106,000 $-41,185,000 $9,706,000 $-54,845,000
2022 $276,742,000 $123,542,000 $180,756,000 $-58,425,000 $-41,574,000 $192,410,000 $58,806,000