Recent Annual Filings for MARA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,990,973,000 $387,508,000 $109,909,000 $261,173,000 $-315,651,000 $555,864,000 $244,808,000
2022 $1,195,244,000 $117,753,000 $826,331,000 $-686,740,000 $-176,481,000 $410,655,000 $-156,054,000
2021 $1,448,244,423 $150,463,770 $163,617,555 $-36,174,506 $-18,218,560 $1,037,334,480 $127,199,243
2020 $313,251,239 $4,357,443 $14,805,214 $-10,447,771 $-7,773,704 $229,691,030 $140,629,813
2019 $6,619,962 $1,185,227 $4,702,292 $-3,517,065 $-3,318,655 $245,494 $-1,858,208
2018 $5,194,507 $1,562,372 $14,307,562 $-12,814,309 $-8,238,571 $15 $-12,397,358
2017 $15,058,221 $519,622 $31,957,143 $-30,723,913 $-1,069,644 $20,448,619 $9,950,215
2016 $18,288,435 $36,629,276 $53,941,341 $-28,623,450 $10,172,607 $-4,007,890 $2,443,163