Recent Annual Filings for BLBD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $417,766,000 $1,132,793,000 $1,106,988,000 $33,858,000 $119,928,000 $-42,899,000 $68,509,000
2022 $366,126,000 $800,637,000 $853,688,000 $-42,895,000 $-24,437,000 $29,660,000 $-1,230,000
2021 $356,020,000 $683,995,000 $685,973,000 $13,314,000 $-54,241,000 $32,752,000 $-32,798,000
2020 $317,415,000 $879,221,000 $868,730,000 $9,942,000 $3,459,000 $-11,108,000 $-26,452,000
2019 $365,413,000 $1,018,874,000 $989,243,000 $6,573,000 $55,706,000 $-9,540,000 $10,699,000
2018 $307,430,000 $1,024,976,000 $998,103,000 $36,268,000 $48,353,000 $-18,605,000 $-2,356,000
2017 $295,816,000 $990,602,000 $953,317,000 $43,817,000 $47,641,000 $-28,130,000 $10,307,000
2016 $277,866,000 $932,010,000 $921,670,000 $-217,000 $25,105,000 $-16,074,000 $-552,000