Recent Annual Filings for BFRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,101,000 $37,321,000 $54,531,000 $-17,759,000 $-10,270,000 $14,835,000 $4,562,000
2023 $27,932,000 $34,071,000 $54,188,000 $-20,131,000 $-24,895,000 $8,411,000 $-15,865,000
2022 $50,884,000 $28,674,000 $29,282,000 $-640,000 $-16,199,000 $14,021,000 $-7,334,000
2021 $53,219,000 $24,100,000 $61,757,000 $-37,713,000 $-26,715,000 $43,191,000