Recent Annual Filings for BNGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $76,670,000 $30,776,000 $104,363,000 $-112,013,000 $-68,922,000 $-13,685,000 $-8,775,000
2023 $214,404,000 $36,116,000 $224,811,000 $-231,346,000 $-125,181,000 $113,815,000 $12,857,000
2022 $307,502,000 $27,802,000 $137,643,000 $-133,181,000 $-124,816,000 $23,007,000 $-19,080,000
2021 $377,100,000 $17,981,000 $80,975,000 $-72,974,000 $-71,927,000 $336,111,000 $-13,878,000
2020 $60,449,526 $8,502,984 $41,324,169 $-41,106,351 $-38,314,378 $61,901,667 $21,137,337
2019 $30,207,866 $10,129,508 $29,236,267 $-29,815,070 $-29,529,720 $30,379,420 $788,644
2018 $24,802,421 $12,000,735 $23,704,494 $-18,496,392 $-19,943,847 $35,776,395 $15,500,832