Recent Annual Filings for BTMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,370,000 $197,191,000 $196,175,000 $-22,000 $45,243,000 $-76,083,000 $-49,638,000
2023 $155,295,000 $185,360,000 $185,483,000 $19,000 $26,883,000 $-14,380,000 $9,790,000
2022 $111,645,000 $164,957,000 $163,245,000 $1,323,000 $-9,157,000 $63,460,000 $52,465,000