Recent Annual Filings for BSET

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $341,170,000 $329,923,000 $344,293,000 $-9,054,000 $4,050,000 $-8,117,000 $-12,835,000
2023 $370,424,000 $390,136,000 $392,624,000 $-3,069,000 $18,724,000 $-10,227,000 $-9,266,000
2022 $406,273,000 $485,601,000 $451,539,000 $67,218,000 $-2,970,000 $-35,563,000 $27,309,000
2021 $421,660,000 $486,534,000 $462,294,000 $17,614,000 $14,563,000 $-14,417,000 $-11,425,000
2020 $402,549,000 $385,863,000 $402,649,000 $-10,579,000 $36,675,000 $-6,816,000 $26,112,000
2019 $275,766,000 $452,087,000 $453,827,000 $-826,000 $9,809,000 $-12,417,000 $-13,781,000
2018 $291,641,000 $456,855,000 $444,649,000 $8,995,000 $28,698,000 $-18,493,000 $-20,481,000
2017 $293,748,000 $452,503,000 $424,627,000 $18,239,000 $36,384,000 $-11,444,000 $18,805,000