Recent Annual Filings for BRZE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $870,998,000 $593,410,000 $694,012,000 $-103,795,000 $36,680,000 $11,695,000 $11,461,000
2024 $810,941,000 $471,800,000 $600,272,000 $-124,783,000 $6,850,000 $13,109,000 $-492,000
2023 $705,406,000 $355,426,000 $495,589,000 $-146,930,000 $-22,308,000 $11,332,000 $-410,350,000
2022 $666,262,000 $238,035,000 $316,367,000 $-78,765,000 $-35,398,000 $467,910,000 $449,955,000