Recent Annual Filings for BNTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $52,210,000 $-21,813,000 $-19,403,000 $68,029,000 $48,447,000
2023 $4,464,000 $75,000 $19,156,000 $-19,147,000 $-18,012,000 $16,015,000 $-1,998,000
2022 $5,973,000 $73,000 $17,927,000 $-17,998,000 $-15,899,000 $15,912,000
2021 $21,379,000 $59,000 $13,655,000 $-13,384,000 $-12,832,000 $22,522,000 $9,469,000
2020 $11,587,000 $102,000 $8,383,000 $-8,363,000 $-7,535,000 $1,770,000 $-5,859,000