Recent Annual Filings for BGSF
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$150,111,000 |
$272,499,000 |
$276,207,000 |
$-3,338,000 |
$24,379,000 |
$-22,386,000 |
$353,000 |
2022 |
$194,673,165 |
$298,421,828 |
$283,501,562 |
$25,302,542 |
$-7,122,323 |
$15,934,018 |
$-112,104 |
2021 |
$148,293,966 |
$239,027,177 |
$225,929,715 |
$14,290,683 |
$6,663,454 |
$473,116 |
$112,104 |
2020 |
$130,278,268 |
$277,890,880 |
$275,936,320 |
$1,318,594 |
$22,256,950 |
$1,890,105 |
— |
2019 |
$115,586,044 |
$294,313,548 |
$276,761,580 |
$13,246,990 |
$17,953,844 |
$-8,224,775 |
— |
2018 |
$100,268,803 |
$286,862,926 |
$265,453,646 |
$17,549,541 |
$18,426,475 |
$-17,502,481 |
— |
2017 |
$104,632,889 |
$272,600,050 |
$258,092,416 |
$5,848,434 |
$18,063,723 |
$7,579,684 |
— |
2016 |
$81,214,134 |
$253,852,214 |
$242,682,133 |
$6,882,407 |
$9,533,840 |
$-8,602,484 |
— |