Recent Annual Filings for BSBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $971,489,884 $41,749,745 $44,291,734 $696,906 $-2,559,906 $19,735,782 $27,302,737
2023 $939,324,203 $37,279,845 $36,799,467 $388,774 $1,437,351 $-14,868,962 $8,088,554
2022 $951,099,003 $30,346,474 $20,855,068 $938,504 $10,856,183 $111,635,801 $-88,227,868
2021 $837,361,587 $25,067,670 $15,672,420 $7,520,432 $5,175,045 $-16,425,285 $24,683,046
2020 $740,904,878 $23,276,262 $20,770,732 $2,108,877 $5,804,060 $-31,028,304 $-47,476,820