Recent Annual Filings for BKSY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $254,146,000 $102,093,000 $158,941,000 $-57,218,000 $-6,384,000 $55,658,000 $-19,056,000
2023 $224,066,000 $94,492,000 $147,678,000 $-53,859,000 $-17,421,000 $29,050,000 $-3,582,000
2022 $234,090,000 $65,350,000 $140,229,000 $-74,172,000 $-44,456,000 $-5,053,000 $-131,088,000
2021 $305,763,000 $34,085,000 $278,078,000 $-245,643,000 $-53,872,000 $275,017,000 $157,531,000