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 |