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 |