Recent Annual Filings for BIRD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $188,879,000 $189,757,000 $281,204,000 $-95,663,000 $-63,860,000 $287,000 $-63,090,000
2023 $312,705,000 $254,065,000 $406,189,000 $-152,182,000 $-30,222,000 $640,000 $-37,094,000
2022 $462,364,000 $297,766,000 $397,893,000 $-105,631,000 $-90,583,000 $3,581,000 $-120,809,000
2021 $488,429,000 $277,472,000 $322,032,000 $-46,660,000 $-50,850,000 $238,152,000 $161,325,000