Recent Annual Filings for BIGC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $444,058,000 $309,394,000 $374,065,000 $-63,309,000 $-24,243,000 $1,242,000 $-20,185,000
2022 $474,056,000 $279,075,000 $418,499,000 $-140,927,000 $-89,357,000 $209,000 $-205,674,000
2021 $555,460,000 $219,855,000 $296,566,000 $-76,868,000 $-40,300,000 $305,274,000 $78,097,000
2020 $276,626,000 $152,368,000 $189,903,000 $-37,560,000 $-26,529,000 $239,950,000 $211,457,000