Recent Annual Filings for BZFD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $221,398,000 $189,887,000 $213,422,000 $-11,455,000 $-20,679,000 $-154,600,000 $3,377,000
2023 $411,476,000 $252,677,000 $292,501,000 $-90,093,000 $-6,103,000 $812,000 $-20,014,000
2022 $529,972,000 $436,674,000 $620,981,000 $-200,693,000 $-7,857,000 $3,176,000 $-23,959,000
2021 $637,214,000 $397,564,000 $422,718,000 $26,002,000 $797,000 $181,823,000 $-26,393,000