Recent Annual Filings for BBGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $549,206,825 $240,291,611 $247,588,620 $-5,462,493 $-3,711,785 $-13,571,492 $-12,961,201
2023 $574,267,938 $247,109,258 $346,368,234 $-75,272,965 $-4,678,549 $-14,992,629 $-12,800,732
2022 $714,943,355 $256,381,018 $316,213,622 $-40,511,762 $11,147,084 $-8,813,385 $-11,843,989
2021 $762,088,062 $241,426,308 $248,150,768 $-1,025,583 $-1,907,227 $33,662,705 $30,619,210
2020 $738,614,356 $206,143,861 $230,043,130 $-18,756,203 $4,214,316 $1,742,561 $2,111,261
2019 $760,060,229 $261,554,114 $241,714,548 $12,926,001 $20,991,224 $-10,821,835 $5,214,343
2018 $681,085,079 $257,494,599 $239,318,004 $6,148,014 $24,394,480 $20,729,301 $-488,562
2017 $654,718,781 $232,179,463 $193,276,584 $88,277,565 $28,021,057 $-51,947,365 $-6,403,025