Recent Annual Filings for BJDX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,657,423 $-7,717,794 $-7,819,769 $10,219,981 $2,093,429
2023 $4,868,531 $-9,953,888 $-8,313,870 $1,111,562 $-7,906,474
2022 $13,521,265 $249,040 $9,566,816 $-9,296,948 $-7,741,593 $8,075 $-8,932,788
2021 $21,018,871 $-367,459 $3,120,839 $-3,488,298 $-4,366,758 $22,526,122 $18,135,417