Recent Annual Filings for BSVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,739,808,000 $131,540,000 $71,186,000 $46,872,000 $55,046,000 $-82,050,000 $53,154,000
2023 $1,771,666,000 $121,544,000 $84,321,000 $31,433,000 $49,125,000 $153,659,000 $71,927,000
2022 $1,584,169,000 $78,749,000 $39,492,000 $20,191,000 $39,714,000 $207,318,000 $-95,737,000
2021 $1,350,549,000 $56,289,000 $25,375,000 $23,303,000 $29,955,000 $64,489,000 $50,951,000
2020 $1,016,669,000 $53,314,000 $27,430,000 $19,266,000 $25,235,000 $131,152,000 $36,773,000
2019 $866,392,000 $51,709,000 $36,640,000 $8,225,000 $19,180,000 $77,928,000 $-10,962,000
2018 $770,511,000 $46,800,000 $21,003,000 $25,000,000 $27,001,000 $38,608,000 $28,036,000