Recent Annual Filings for BATL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $431,048,000 $193,893,000 $205,638,000 $-31,882,000 $35,355,000 $-7,728,000 $-37,816,000
2023 $485,338,000 $220,762,000 $203,180,000 $-3,048,000 $17,589,000 $59,059,000 $24,803,000
2022 $485,358,000 $359,064,000 $206,928,000 $18,539,000 $78,801,000 $31,786,000 $-15,543,000
2021 $390,267,000 $285,205,000 $181,831,000 $-28,317,000 $68,572,000 $27,405,000 $44,064,000
2020 $346,497,000 $148,289,000 $410,121,000 $-229,707,000 $50,197,000 $16,177,000 $-5,980,000