Recent Annual Filings for BLZE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $168,558,000 $127,628,000 $176,153,000 $-48,531,000 $12,505,000 $22,772,000 $29,146,000
2023 $131,687,000 $102,019,000 $161,732,000 $-59,713,000 $-7,350,000 $-8,842,000 $5,465,000
2022 $152,458,000 $85,155,000 $136,592,000 $-51,398,000 $-13,781,000 $-6,212,000 $-93,847,000
2021 $163,581,000 $67,479,000 $89,087,000 $-21,704,000 $3,520,000 $106,606,000 $98,936,000