Recent Annual Filings for BBSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $745,508,000 $1,144,531,000 $1,073,709,000 $54,549,000 $10,087,000 $-41,125,000 $7,747,000
2023 $721,538,000 $1,069,307,000 $1,000,319,000 $57,405,000 $67,222,000 $-44,572,000 $-32,537,000
2022 $686,938,000 $1,054,326,000 $989,023,000 $18,595,000 $27,778,000 $-60,183,000 $28,749,000
2021 $746,952,000 $955,166,000 $904,505,000 $31,594,000 $-15,459,000 $-26,886,000 $-155,208,000
2020 $774,950,000 $880,824,000 $838,228,000 $38,510,000 $-27,915,000 $-15,730,000 $-39,504,000
2019 $860,929,000 $942,311,000 $881,173,000 $56,179,000 $77,137,000 $-10,811,000 $132,639,000
2018 $756,089,000 $940,698,000 $895,929,000 $34,424,000 $69,784,000 $-9,943,000 $20,497,000
2017 $682,485,000 $920,432,000 $886,054,000 $23,743,000 $112,859,000 $-9,007,000 $9,067,000