Recent Annual Filings for MAPS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $181,866,000 $184,514,000 $169,766,000 $12,187,000 $36,676,000 $-7,423,000 $17,616,000
2023 $167,021,000 $187,993,000 $206,450,000 $-15,727,000 $22,928,000 $-5,290,000 $5,767,000
2022 $199,035,000 $215,531,000 $285,153,000 $-82,651,000 $-11,621,000 $-9,805,000 $-39,194,000
2021 $365,144,000 $193,146,000 $201,324,000 $152,218,000 $23,092,000 $55,201,000 $47,858,000