Financial Strength


Bridgeway generates high impact while maintaining strong financial performance.
Year after year, we demonstrate the ability to take the measured risk that
disinvested places need to access economic opportunity.

Aeris completed an in-depth examination of Bridgeway’s loan files, lending process, portfolio, financial history, and mission impact.

Aeris is the leading expert in the financial performance and social impact of CDFIs and loan funds. Our triple-star rating shows a strong alignment of Bridgeway’s impact, strategies, programs and services, and portfolio investments with its mission. Bridgeway effectively uses its financial resources in alignment with its mission, accurately tracks output data, and uses the data on a regular basis to improve strategies and activities in pursuit of its mission. The metrics show positive changes toward achieving its impact goals. The AA- rating demonstrates that Bridgeway has very strong financial strength, performance, and risk management practices relative to its size, complexity, and risk profile.

Statement of Financial Position

ASSETS20222023
Loans Receivable (Net)$64,511,165$73,943,030
Cash & Investments$18,938,739$24,098,390
Other Assets$17,400,529$21,975,812
Total Assets$100,850,433$120,017,232
LIABILITIES20222023
Notes Payable$46,396,323$55,267,724
Other Liabilites$1,350,574$3,408,501
Total Liabilities$47,746,897$58,676,225
NET ASSETS20222023
Without Donor Restriction$48,459,422$53,409,218
With Donor Restriction$4,644,114$7,931,789
TOTAL NET ASSETS$53,103,536$61,341,007
TOTAL LIABILITIES and NET ASSETS20222023
*as of September 30$100,850,433$120,017,232

Statement of Activities

REVENUE AND SUPPORT20222023
Contribution and Grants$4,815,780$12,482,342
Program Income$5,219,835$5,494,749
Investment Income, Net$929,251$733,283
Total Income$10,964,866$18,710,374
EXPENSES20222023
Program$7,105,058$8,450,546
General & Administrative$1,510,015$1,721,522
Fundraising$286,489$300,835
Total Expenses$8,901,562$10,472,903
CHANGE IN NET ASSETS$2,063,304$8,237,471

Read the beginning of our 2022 Annual Report.

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