Recent Annual Filings for BYRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $71,922,000 $85,756,000 $78,672,000 $13,199,000 $11,739,000 $-4,552,000 $-4,040,000
2023 $52,314,000 $42,644,000 $50,671,000 $-8,628,000 $3,892,000 $-422,000 $491,000
2022 $57,049,000 $48,036,000 $55,687,000 $-8,489,000 $-13,826,000 $-17,044,000 $-36,332,000
2021 $75,314,000 $42,160,000 $45,603,000 $-3,327,000 $57,252,000 $57,063,000