Recent Annual Filings for BKYI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,615,560 $6,929,571 $11,253,261 $-4,274,223 $-2,914,072 $2,826,854 $-100,265
2023 $4,517,035 $7,754,905 $16,410,756 $-8,256,414 $-3,793,456 $1,433,440 $-2,361,016
2022 $11,344,255 $7,020,258 $18,950,595 $-12,152,505 $-6,229,034 $1,903,240 $-5,022,412
2021 $17,769,041 $5,114,000 $10,055,856 $-5,065,781 $-8,978,428 $-218,598 $-9,239,050
2020 $22,520,572 $2,836,782 $7,307,602 $-9,673,987 $-4,950,108 $24,094,012 $16,914,083
2019 $2,496,698 $2,267,528 $3,336,508 $-14,588,700 $-1,850,347 $2,148,727 $-244,930
2018 $11,692,332 $4,044,542 $10,913,497 $-6,868,875 $-1,613,475 $1,731,155 $35,222
2017 $16,078,822 $6,302,984 $10,578,349 $-4,275,338 $-2,465,462 $1,919,634 $-772,586