Recent Annual Filings for BIOA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $358,234,000 $-71,028,000 $-51,522,000 $381,199,000 $329,311,000
2017 $69,513,895 $14,942,960 $117,048,001 $-97,052,549 $-29,789,075 $18,847,928 $-11,528,347
2016 $161,330,465 $8,272,497 $36,617,542 $-24,679,153 $-37,615,873 $47,223,874 $9,186,426
2015 $143,087,196 $2,171,952 $38,087,830 $-56,253,770 $-32,198,719 $54,887,955 $-44,069,161
2014 $152,440,400 $1,543,051 $30,704,181 $-53,224,818 $-22,452,975 $78,654,598 $-32,685,447
2013 $114,079,014 $2,665,237 $36,353,725 $-34,130,282 $-27,524,996 $99,923,499 $58,655,862