Recent Annual Filings for BOOM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $671,337,000 $642,851,000 $783,841,000 $-155,094,000 $46,596,000 $-59,788,000 $-16,751,000
2023 $884,495,000 $719,188,000 $669,309,000 $37,091,000 $65,927,000 $-33,182,000 $5,896,000
2022 $878,978,000 $654,086,000 $630,877,000 $11,613,000 $44,936,000 $-28,510,000 $-5,666,000
2021 $864,412,000 $260,115,000 $262,669,000 $-4,586,000 $-12,812,000 $282,585,000 $2,623,000
2020 $279,645,000 $229,161,000 $231,121,000 $1,429,000 $30,362,000 $17,317,000 $7,834,000
2019 $277,421,000 $397,550,000 $340,848,000 $43,252,000 $64,594,000 $-30,562,000 $6,978,000
2018 $240,418,000 $326,429,000 $291,822,000 $26,278,000 $27,638,000 $21,858,000 $4,392,000
2017 $173,083,000 $192,803,000 $208,087,000 $-8,158,000 $6,747,000 $647,000 $2,564,000