Recent Annual Filings for DMLP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $366,812,000 $161,523,000 $69,074,000 $92,449,000 $132,639,000 $132,639,000
2023 $191,065,000 $163,799,000 $49,682,000 $114,117,000 $139,842,000 $-142,126,000
2022 $176,243,000 $170,800,000 $40,193,000 $130,607,000 $147,052,000 $-149,141,000
2021 $146,807,000 $93,423,000 $23,249,000 $70,174,000 $70,305,000 $-72,886,000
2020 $88,327,000 $46,928,000 $25,061,000 $21,867,000 $39,406,000 $-45,532,000
2019 $116,883,000 $78,799,000 $26,034,000 $52,765,000 $66,109,000 $-70,900,000 $-2,946,000
2018 $87,923,000 $73,278,000 $19,371,000 $53,907,000 $62,524,000 $-58,006,000 $4,458,000
2017 $92,047,000 $57,291,000 $18,867,000 $38,424,000 $44,028,000 $-37,797,000 $5,615,000