Recent Annual Filings for BGFV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $609,366,000 $795,468,000 $852,036,000 $-69,072,000 $-11,372,000 $18,441,000 $-3,783,000
2023 $708,793,000 $995,538,000 $962,595,000 $26,134,000 $-28,440,000 $-30,235,000 $-71,855,000
2022 $753,953,000 $1,161,820,000 $1,026,696,000 $102,386,000 $115,528,000 $-72,147,000 $32,766,000
2020 $699,994,000 $1,041,212,000 $966,827,000 $55,940,000 $148,743,000 $-86,952,000 $56,431,000
2019 $688,800,000 $996,495,000 $984,712,000 $8,445,000 $14,280,000 $-3,626,000 $1,458,000
2018 $419,561,000 $987,581,000 $992,182,000 $-3,531,000 $24,519,000 $-9,464,000 $-405,000
2017 $445,060,000 $1,009,635,000 $994,937,000 $1,104,000 $-4,384,000 $20,121,000 $-725,000
2015 $445,029,000 $1,029,098,000 $1,004,350,000 $15,297,000 $39,645,000 $-19,462,000 $-4,384,000