Recent Annual Filings for IMXI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $576,812,000 $658,735,000 $573,671,000 $59,919,000 $143,525,000 $-37,120,000 $89,710,000
2022 $512,072,000 $546,805,000 $469,526,000 $57,265,000 $15,174,000 $14,058,000 $17,019,000
2021 $340,536,000 $459,206,000 $395,891,000 $46,780,000 $78,098,000 $-9,616,000 $57,567,000
2020 $259,473,000 $357,209,000 $310,908,000 $33,678,000 $-880,000 $-6,160,000 $-11,210,000
2019 $227,306,000 $319,601,000 $291,669,000 $19,704,000 $52,534,000 $-32,944,000 $13,088,000
2018 $225,839,000 $273,901,000 $279,277,000 $-7,244,000 $19,838,000 $-1,113,000 $13,234,000