Recent Annual Filings for BBCP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $897,990,000 $425,872,000 $401,561,000 $21,215,000 $86,900,000 $-28,768,000 $26,001,000
2023 $904,525,000 $442,241,000 $401,679,000 $35,527,000 $96,875,000 $-44,296,000 $8,421,000
2022 $887,489,000 $401,292,000 $367,090,000 $15,777,000 $76,695,000 $45,978,000 $-1,448,000
2021 $792,665,000 $315,808,000 $328,239,000 $-10,796,000 $75,835,000 $-15,954,000 $3,316,000
2020 $773,758,000 $304,301,000 $370,268,000 $-60,997,000 $78,970,000 $-43,928,000 $-737,000
2019 $871,365,000 $282,961,000 $322,943,000 $-33,161,000 $30,693,000 $346,259,000 $-194,000