Recent Annual Filings for BLIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,602,000 $15,358,000 $17,362,000 $-2,012,000 $-765,000 $-209,000
2023 $17,631,000 $15,885,000 $25,414,000 $-9,463,000 $277,000 $-649,000 $-397,000
2022 $27,513,000 $16,819,000 $14,644,000 $2,278,000 $-134,000 $-5,483,000 $-5,812,000
2021 $34,967,000 $13,259,000 $21,122,000 $-6,661,000 $-989,000 $13,473,000 $7,967,000
2020 $10,660,000 $10,907,000 $10,570,000 $283,000 $-498,000 $1,048,000
2019 $11,155,000 $9,952,000 $19,422,000 $-9,461,000 $-4,203,000 $9,547,000 $-348,000
2018 $11,000,000 $13,568,000 $20,790,000 $-7,220,000 $-1,114,000 $1,061,000 $-104,000
2017 $17,573,000 $16,293,000 $17,879,000 $-1,599,000 $-940,000 $1,117,000 $87,000