Recent Annual Filings for BMI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $716,919,000 $703,592,000 $581,626,000 $96,935,000 $110,117,000 $-28,085,000 $52,902,000
2022 $603,047,000 $565,568,000 $477,851,000 $60,377,000 $82,451,000 $-24,605,000 $51,955,000
2021 $530,818,000 $505,198,000 $426,575,000 $59,707,000 $87,510,000 $-20,507,000 $14,901,000
2020 $468,380,000 $425,544,000 $360,563,000 $50,231,000 $89,578,000 $-27,819,000 $23,402,000
2019 $421,893,000 $424,625,000 $363,018,000 $47,022,000 $80,714,000 $-37,709,000 $35,785,000
2018 $392,691,000 $433,732,000 $397,880,000 $40,963,000 $60,350,000 $-42,140,000 $1,922,000
2017 $391,727,000 $402,440,000 $347,607,000 $35,313,000 $49,751,000 $-10,426,000 $3,826,000
2016 $349,699,000 $393,761,000 $343,917,000 $33,440,000 $56,185,000 $-44,471,000 $-825,000