Recent Annual Filings for BCPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,575,371,000 $953,684,000 $787,231,000 $96,037,000 $181,999,000 $-133,815,000 $-14,932,000
2023 $1,597,211,000 $922,439,000 $785,178,000 $124,388,000 $183,761,000 $-153,321,000 $-2,113,000
2022 $1,624,512,000 $942,358,000 $808,609,000 $-2,161,000 $138,536,000 $246,679,000 $-36,679,000
2021 $1,199,325,000 $799,023,000 $673,790,000 $-9,166,000 $160,514,000 $-102,178,000 $18,668,000
2020 $1,165,843,000 $703,644,000 $597,227,000 $9,737,000 $150,494,000 $-101,164,000 $18,899,000
2019 $1,155,682,000 $643,705,000 $547,227,000 $-1,962,000 $124,461,000 $43,385,000 $11,404,000
2018 $981,355,000 $643,679,000 $544,649,000 $-1,960,000 $118,697,000 $-71,447,000 $13,852,000
2017 $963,636,000 $594,790,000 $506,302,000 $5,150,000 $110,618,000 $-68,626,000 $1,773,000