Recent Annual Filings for BTAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $38,338,000 $2,266,000 $69,511,000 $-59,599,000 $-72,027,000 $36,660,000
2023 $73,702,000 $1,380,000 $173,162,000 $-179,053,000 $-155,006,000 $26,522,000 $-128,504,000
2022 $205,853,000 $375,000 $160,020,000 $-165,757,000 $-135,341,000 $96,237,000 $-39,243,000
2021 $239,439,000 $-106,931,000 $-82,153,000 $102,447,000 $19,849,000
2020 $219,936,000 $-82,169,000 $-66,350,000 $247,359,000 $180,693,000
2019 $36,392,000 $-32,968,000 $-27,280,000 $18,011,000 $-10,139,000
2018 $43,549,000 $-19,270,000 $-13,509,000 $55,527,000 $41,678,000