Recent Annual Filings for BOC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $728,345,729 $108,274,901 $116,742,379 $3,371,415 $21,241,580 $-47,557,174 $1,784,222
2023 $768,207,092 $96,253,736 $105,106,139 $-6,167,725 $16,059,125 $32,940,258 $-15,253,308
2022 $683,717,859 $81,234,194 $86,464,089 $7,285,264 $-5,165,165 $-109,725,630 $-27,027,888