Recent Annual Filings for BIAF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,513,667 $9,362,022 $18,390,203 $-9,039,831 $-7,264,795 $5,627,599 $-1,716,279
2023 $8,221,552 $7,900,000 $15,816,018 $8,600,000 $-6,037,806 $-344,984 $-8,592,189
2022 $12,182,125 $4,336 $4,015,394 $-8,154,113 $-4,070,845 $14,343,953