Recent Annual Filings for BCML

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,664,508,000 $131,710,000 $99,590,000 $25,200,000 $30,357,000 $88,322,000 $56,493,000
2023 $2,551,960,000 $126,337,000 $88,179,000 $24,394,000 $30,802,000 $19,520,000 $130,724,000
2022 $2,513,334,000 $107,065,000 $70,054,000 $10,003,000 $39,612,000 $-296,424,000 $-202,872,000
2021 $2,350,697,000 $81,609,000 $53,129,000 $20,160,000 $10,429,000 $130,291,000 $80,358,000
2020 $2,195,666,000 $87,192,000 $68,963,000 $15,172,000 $9,997,000 $67,607,000 $3,947,000
2019 $1,994,177,000 $76,544,000 $18,672,000 $6,956,000 $-36,082,000 $-28,199,000
2018 $1,478,395,000 $56,860,000 $14,177,000 $6,237,000 $78,742,000 $73,728,000