Recent Annual Filings for BYFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,375,404,000 $179,000 $-6,344,000 $8,462,000 $7,594,000 $181,540,000 $89,090,000
2022 $1,184,293,000 $145,000 $-7,974,000 $-11,286,000 $6,324,000 $102,220,000 $-215,415,000
2021 $1,093,505,000 $249,000 $5,135,000 $-4,765,000 $566,000 $109,822,000 $135,411,000
2020 $483,378,000 $420,000 $1,469,000 $-455,000 $-13,555,000 $43,386,000 $80,543,000
2019 $440,369,000 $491,000 $1,042,000 $54,000 $8,533,000 $29,531,000 $-1,085,000
2018 $409,397,000 $449,000 $-422,000 $613,000 $234,000 $-4,984,000 $-5,568,000
2017 $413,704,000 $16,287,000 $12,555,000 $1,825,000 $-10,226,000 $-16,137,000 $3,789,000
2016 $429,083,000 $15,290,000 $14,035,000 $3,379,000 $930,000 $23,765,000 $-49,409,000