Recent Annual Filings for BFIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,434,814,000 $3,433,000 $-1,588,000 $6,136,000 $7,564,000 $-55,082,000 $-93,655,000
2023 $1,487,384,000 $3,318,000 $-9,434,000 $12,880,000 $9,221,000 $-95,431,000 $111,713,000
2022 $1,575,137,000 $3,271,000 $-10,564,000 $4,302,000 $9,292,000 $-127,913,000 $-435,393,000
2021 $1,700,682,000 $3,184,000 $-6,574,000 $7,277,000 $7,768,000 $92,028,000 $-1,334,000
2020 $1,596,842,000 $3,196,000 $-9,564,000 $9,150,000 $13,517,000 $100,582,000 $313,171,000
2019 $1,488,015,000 $3,844,000 $-12,053,000 $11,627,000 $21,374,000 $-113,429,000 $92,121,000
2018 $1,585,325,000 $3,968,000 $-22,080,000 $19,243,000 $20,685,000 $-58,133,000 $-29,388,000
2017 $1,625,558,000 $56,179,000 $39,985,000 $8,938,000 $22,730,000 $-6,227,000 $30,908,000