Recent Annual Filings for BDL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $142,082,000 $188,321,000 $181,925,000 $4,864,000 $6,630,000 $-5,619,000 $-4,130,000
2023 $145,769,000 $174,396,000 $167,372,000 $3,999,000 $8,489,000 $-6,536,000 $-16,606,000
2022 $147,492,000 $158,132,000 $151,203,000 $9,049,000 $10,502,000 $8,502,000 $9,462,000
2021 $128,002,000 $137,307,000 $128,657,000 $16,765,000 $14,049,000 $294,000 $2,754,000
2020 $112,484,000 $112,977,000 $110,066,000 $2,184,000 $8,785,000 $10,736,000 $16,250,000
2019 $68,755,000 $116,202,000 $109,886,000 $5,377,000 $9,627,000 $-4,760,000 $258,000
2018 $67,265,000 $113,497,000 $106,053,000 $5,390,000 $9,959,000 $-1,224,000 $3,529,000
2017 $60,509,000 $106,822,000 $100,564,000 $4,390,000 $8,254,000 $-1,490,000 $-289,000