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