Recent Annual Filings for BLFY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,060,683,000 $85,451,000 $-7,985,000 $5,063,000 $21,420,000 $-3,523,000
2023 $2,044,963,000 $79,105,000 $-5,558,000 $-12,118,000 $6,660,000 $4,843,000
2022 $2,043,338,000 $62,413,000 $-21,951,000 $2,779,000 $151,193,000 $-152,264,000
2021 $1,914,211,000 $56,053,000 $-35,683,000 $-14,142,000 $-3,523,000 $-122,999,000