Recent Annual Filings for BVS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $727,956,000 $573,280,000 $622,406,000 $-48,014,000 $38,795,000 $-54,580,000 $4,618,000
2023 $810,910,000 $512,345,000 $633,456,000 $-194,493,000 $15,344,000 $-26,653,000 $5,127,000
2022 $1,372,649,000 $512,117,000 $776,016,000 $-213,759,000 $-13,537,000 $62,076,000 $-67,376,000
2021 $1,225,862,000 $430,898,000 $423,278,000 $8,328,000 $22,991,000 $273,371,000 $12,374,000