Recent Annual Filings for BPRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,340,233,000 $122,946,000 $110,130,000 $8,795,000 $14,730,000 $106,114,000 $-33,209,000
2023 $1,916,497,000 $98,180,000 $67,845,000 $26,544,000 $23,112,000 $79,854,000 $97,206,000
2022 $1,601,779,000 $74,083,000 $40,030,000 $17,382,000 $23,987,000 $-102,895,000 $-105,365,000