Recent Annual Filings for BBAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $343,776,000 $158,236,000 $454,039,000 $-295,426,000 $-38,119,000 $52,458,000 $17,584,000
2023 $199,910,000 $155,164,000 $215,429,000 $-60,366,000 $-18,307,000 $42,062,000 $19,925,000
2022 $195,308,000 $155,011,000 $278,402,000 $-121,674,000 $-48,918,000 $-103,137,000 $-157,289,000
2021 $383,322,000 $145,578,000 $268,046,000 $-123,552,000 $-19,782,000 $180,862,000 $160,217,000