Recent Annual Filings for BELFA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $949,789,000 $534,792,000 $472,984,000 $44,002,000 $74,064,000 $206,258,000 $-21,118,000
2023 $571,631,000 $639,813,000 $556,513,000 $78,340,000 $108,349,000 $-38,597,000 $19,105,000
2022 $560,466,000 $654,233,000 $595,174,000 $55,006,000 $40,257,000 $-21,262,000 $8,510,000
2021 $511,846,000 $543,494,000 $516,167,000 $24,021,000 $4,632,000 $-8,400,000 $-23,183,000
2020 $453,866,000 $465,771,000 $453,635,000 $18,797,000 $46,108,000 $-32,142,000 $12,650,000
2019 $468,917,000 $492,412,000 $499,714,000 $-7,507,000 $24,450,000 $25,226,000 $18,378,000
2018 $443,524,000 $548,184,000 $524,568,000 $15,496,000 $10,097,000 $-12,307,000 $-15,443,000
2017 $431,265,000 $491,611,000 $481,968,000 $-225,000 $24,120,000 $-24,317,000 $-4,057,000