Recent Annual Filings for BRDG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,247,382,000 $412,432,000 $394,220,000 $17,117,000 $145,205,000 $-120,708,000 $35,171,000
2023 $1,288,818,000 $390,648,000 $471,927,000 $-87,322,000 $174,813,000 $42,392,000 $-126,005,000
2022 $1,154,835,000 $409,049,000 $114,484,000 $272,171,000 $228,353,000 $-97,077,000 $109,393,000
2021 $330,014,000 $-86,875,000 $408,602,000 $209,224,000 $-118,447,000 $-23,482,000