Recent Annual Filings for BLUE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $460,232,000 $83,807,000 $264,888,000 $-241,052,000 $-260,020,000 $87,469,000 $-168,654,000
2023 $619,161,000 $29,497,000 $333,162,000 $-209,639,000 $-235,046,000 $196,248,000 $116,152,000
2022 $554,902,000 $3,597,000 $392,689,000 $-267,737,000 $-352,953,000 $54,253,000 $-48,247,000
2021 $593,795,000 $3,662,000 $594,573,000 $-817,014,000 $-635,639,000 $-93,954,000 $-167,036,000
2020 $1,781,252,000 $250,734,000 $873,780,000 $-622,307,000 $-470,351,000 $546,715,000 $-7,981,000
2019 $1,727,424,000 $44,674,000 $859,500,000 $-787,874,000 $-564,384,000 $21,187,000 $-35,390,000
2018 $2,242,844,000 $54,579,000 $610,017,000 $-555,047,000 $-413,426,000 $737,692,000 $-355,169,000
2017 $1,900,567,000 $35,427,000 $370,860,000 $-338,699,000 $-280,553,000 $1,076,174,000 $479,618,000