Recent Annual Filings for BCDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,724,000 $58,000 $8,059,000 $-7,946,000 $-8,026,000 $9,300,000 $1,268,000
2023 $2,987,000 $477,000 $12,121,000 $-11,571,000 $-9,974,000 $3,726,000 $-6,260,000
2022 $9,793,000 $1,352,000 $13,253,000 $-11,907,000 $-10,561,000 $5,122,000 $-5,509,000
2021 $15,718,000 $1,015,000 $13,645,000 $-12,623,000 $-10,366,000 $1,947,000 $-8,535,000
2020 $23,424,000 $145,000 $15,674,000 $-15,004,000 $-12,357,000 $28,211,000 $15,822,000
2019 $7,678,000 $710,000 $14,923,000 $-14,709,000 $-9,445,000 $9,818,000 $227,000