Recent Annual Filings for BDSX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $99,096,000 $49,087,000 $101,233,000 $-52,146,000 $-22,870,000 $29,129,000 $-16,803,000
2022 $92,906,000 $38,212,000 $103,659,000 $-65,447,000 $-44,972,000 $58,882,000 $10,376,000
2021 $76,097,000 $54,506,000 $97,665,000 $-43,159,000 $-28,223,000 $1,262,000 $-29,508,000
2020 $121,070,000 $45,557,000 $76,907,000 $-31,350,000 $-21,366,000 $81,131,000 $56,838,000