Recent Annual Filings for BFST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,857,090,000 $10,577,000 $-72,474,000 $68,694,000 $61,402,000 $326,499,000 $92,988,000
2023 $6,584,550,000 $9,704,000 $-80,882,000 $78,662,000 $92,427,000 $502,084,000 $73,370,000
2022 $5,990,460,000 $8,272,000 $-60,320,000 $-18,772,000 $69,577,000 $715,309,000 $84,365,000
2021 $4,726,378,000 $6,813,000 $-57,745,000 $40,331,000 $56,443,000 $538,155,000 $-80,756,000
2020 $4,160,360,000 $5,358,000 $-31,424,000 $38,009,000 $29,339,000 $505,716,000 $59,760,000
2019 $2,273,835,000 $4,035,000 $-25,817,000 $29,854,000 $24,418,000 $161,171,000 $-6,701,000
2018 $2,094,896,000 $2,810,000 $-14,560,000 $12,266,000 $19,276,000 $139,523,000 $-11,519,000