Recent Annual Filings for BLND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $206,065,000 $156,846,000 $336,631,000 $-178,730,000 $-127,621,000 $-90,958,000 $-91,304,000
2022 $432,764,000 $235,201,000 $1,001,252,000 $-763,710,000 $-190,418,000 $2,220,000 $-88,883,000
2021 $1,112,486,000 $234,495,000 $442,523,000 $-169,945,000 $-127,504,000 $933,573,000 $172,152,000