Recent Annual Filings for BSGM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $842,000 $40,000 $10,379,000 $-10,339,000 $-4,758,000 $4,710,000
2023 $1,798,000 $18,000 $28,708,000 $-28,690,000 $-17,313,000 $17,332,000 $-167,000
2022 $4,110,000 $286,000 $27,548,000 $-27,262,000 $-21,705,000 $10,571,000 $-11,302,000
2021 $15,519,000 $441,000 $33,297,000 $-32,856,000 $-26,399,000 $10,332,000 $-16,609,000
2020 $30,386,000 $45,000 $59,185,000 $-59,140,000 $-26,601,000 $42,847,000 $16,159,000
2019 $14,217,113 $132,751 $34,603,428 $-34,470,677 $-15,482,982 $23,427,338 $7,658,422
2018 $4,996,832 $10,897 $17,262,214 $-17,251,317 $-10,255,427 $13,465,687 $2,902,581