Recent Annual Filings for BFLY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $256,082,000 $82,056,000 $154,580,000 $-72,492,000 $-41,707,000 $-1,495,000 $-45,860,000
2023 $304,274,000 $65,900,000 $199,518,000 $-133,700,000 $-98,820,000 $228,000 $-28,178,000
2022 $417,570,000 $73,390,000 $242,071,000 $-168,723,000 $-169,115,000 $2,881,000 $-260,013,000
2021 $571,965,000 $62,565,000 $94,853,000 $-32,409,000 $-189,187,000 $565,692,000 $366,635,000
2012 $36,543,000 $93,444,000 $118,355,000 $-24,911,000 $-3,014,000 $3,117,000 $-3,130,000
2011 $48,626,000 $96,282,000 $107,712,000 $-11,430,000 $-8,067,000 $6,883,000 $-6,016,000