Recent Annual Filings for BEAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,276,000 $-19,448,000 $-14,471,000 $866,000 $-13,806,000
2023 $17,131,000 $-14,639,000 $-12,093,000 $24,994,000 $12,645,000
2022 $4,039,000 $-12,962,000 $-9,948,000 $350,000
2021 $13,998,000 $-4,428,000 $-3,230,000 $16,398,000
2012 $90,010,000 $111,494,000 $124,601,000 $-12,186,000 $5,743,000 $440,000 $-233,000
2011 $94,975,000 $119,022,000 $180,200,000 $-61,446,000 $5,030,000 $509,000 $-174,000