Recent Annual Filings for BLDE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $256,675,000 $248,693,000 $282,619,000 $-29,518,000 $-2,519,000 $-5,759,000 $-9,374,000
2023 $294,938,000 $225,180,000 $293,297,000 $-54,399,000 $-32,349,000 $-76,000 $-15,402,000
2022 $325,025,000 $146,120,000 $199,649,000 $-24,075,000 $-37,130,000 $-1,084,000 $41,198,000
2021 $343,394,000 $50,526,000 $74,619,000 $-40,349,000 $-15,615,000 $332,259,000 $-4,694,000