Recent Annual Filings for BOXL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $115,305,000 $135,893,000 $166,137,000 $-29,409,000 $-439,000 $-7,140,000 $-8,085,000
2023 $158,571,000 $176,721,000 $214,011,000 $-36,941,000 $11,581,000 $-8,011,000 $2,249,000
2022 $195,395,000 $221,781,000 $225,475,000 $-8,385,000 $1,190,000 $-5,126,000 $-5,142,000
2021 $201,436,000 $185,177,000 $195,669,000 $-15,266,000 $-2,330,000 $41,148,000 $4,810,000
2020 $139,953,000 $54,891,000 $71,864,000 $-10,922,000 $-4,664,000 $65,578,000 $106,232,000
2019 $20,468,885 $33,030,357 $42,432,435 $-9,333,683 $-4,263,453 $4,459,944 $203,140
2018 $21,267,187 $37,841,277 $45,019,160 $-7,236,454 $-3,774,818 $1,781,885 $-1,108,866
2017 $20,453,425 $25,743,612 $33,040,721 $-7,332,039 $-1,343,382 $2,927,738 $1,553,823