Recent Annual Filings for BLNK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $217,988,000 $126,197,000 $323,615,000 $-201,441,000 $-47,162,000 $-12,419,000 $-55,433,000
2023 $428,519,000 $140,598,000 $342,797,000 $-203,183,000 $-97,570,000 $197,315,000 $86,505,000
2022 $362,542,000 $61,139,000 $152,391,000 $-92,822,000 $-82,365,000 $6,393,000 $-133,413,000
2021 $231,913,000 $20,540,000 $-34,579,000 $-56,465,000 $-40,570,000 $223,271,000 $152,252,000
2020 $33,987,535 $6,230,231 $24,077,698 $-18,029,640 $-18,069,954 $36,058,709 $18,248,995
2019 $11,947,493 $392,411 $10,864,354 $-9,465,327 $10,958,156 $-52,379 $10,352,957
2018 $21,650,461 $2,686,237 $6,107,440 $-3,421,203 $-13,420,955 $31,691,028 $18,232,362