Recent Annual Filings for BMEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $79,938,000 $-138,426,000 $-119,894,000 $1,668,000 $-118,588,000
2023 $199,927,000 $-117,254,000 $-96,592,000 $163,798,000 $64,986,000
2022 $129,307,000 $-81,819,000 $-62,417,000 $1,239,000 $-33,837,000
2021 $185,705,000 $-41,577,000 $-35,438,000 $153,185,000 $84,392,000