Recent Annual Filings for BLBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,890,690 $2,566,946 $6,038,173 $-3,471,227 $-705,725 $1,346,761 $-455,661
2023 $9,828,140 $3,106,026 $7,770,481 $-4,664,455 $-3,166,067 $-56,383 $47,119
2022 $4,335,781 $4,959,109 $9,978,991 $-5,019,882 $-4,285,039 $-2,120,823 $-2,000,919
2021 $11,150,114 $6,112,324 $8,728,060 $-2,615,736 $-672,485 $10,194,239 $1,453,672