Recent Annual Filings for BHM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $966,993,000 $50,214,000 $62,305,000 $-16,884,000 $9,058,000 $260,716,000 $44,857,000
2023 $671,620,000 $41,093,000 $56,990,000 $-15,767,000 $13,880,000 $15,664,000 $3,822,000
2022 $658,893,000 $34,144,000 $40,380,000 $-5,925,000 $3,498,000 $119,312,000 $-54,367,000