Recent Annual Filings for BWMN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $505,881,000 $426,564,000 $435,510,000 $3,590,000 $24,301,000 $-10,824,000 $-13,989,000
2023 $402,785,000 $346,256,000 $352,703,000 $-6,612,000 $11,722,000 $22,839,000 $7,405,000
2022 $255,757,000 $261,714,000 $259,978,000 $5,583,000 $9,170,000 $2,247,000 $-7,337,000
2021 $138,170,000 $149,970,000 $151,250,000 $299,000 $4,717,000 $37,050,000 $20,233,000