Recent Annual Filings for BKKT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $269,377,000 $3,490,220,000 $3,593,497,000 $-105,121,000 $-21,203,000 $43,818,000 $35,248,000
2023 $966,867,000 $780,136,000 $1,005,504,000 $-225,262,000 $-60,697,000 $-2,634,000 $3,075,000
2022 $455,502,000 $54,567,000 $2,055,821,000 $-1,990,725,000 $-117,597,000 $-2,584,000 $-292,992,000
2021 $2,414,285,000 $39,437,000 $332,334,000 $-304,057,000 $-134,302,000 $256,828,000 $139,384,000