Recent Annual Filings for BEEM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $61,459,000 $49,336,000 $60,712,000 $-13,063,000 $-2,193,000 $1,203,000 $-5,821,000
2023 $77,643,000 $67,353,000 $83,401,000 $-15,436,000 $-13,307,000 $27,717,000 $8,712,000
2022 $37,730,000 $21,995,000 $41,675,000 $-19,682,000 $-18,114,000 $-342,000 $-20,268,000
2021 $30,657,987 $9,001,751 $15,601,069 $-6,595,214 $-6,406,707 $2,234,556 $-4,754,292
2020 $32,902,759 $6,210,350 $11,418,431 $-5,213,025 $-4,138,138 $27,350,387 $22,853,348