Recent Annual Filings for BIVI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,208,345 $-33,183,547 $-27,945,024 $17,802,939 $4,382,915
2023 $35,104,730 $-50,079,224 $-40,252,881 $55,373,183
2022 $20,114,594 $-26,084,468 $-18,990,850 $33,120,924
2021 $6,046,689 $-130,249,204 $-10,453,047 $14,927,494 $4,474,447