Recent Annual Filings for BTBD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,996,797 $14,823,472 $16,655,780 $-2,311,208 $-723,505 $-440,849 $-3,349,031
2023 $14,609,212 $14,076,653 $15,149,242 $-887,368 $-258,787 $-1,304,389 $3,149,868
2022 $14,505,727 $8,451,870 $7,471,158 $607,851 $813,955 $10,458,353 $11,064,388