Recent Annual Filings for MAX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $262,447,000 $864,704,000 $821,979,000 $22,118,000 $45,872,000 $-19,223,000 $25,995,000
2023 $153,925,000 $388,149,000 $428,073,000 $-56,555,000 $20,231,000 $-17,429,000 $2,729,000
2022 $170,081,000 $459,072,000 $494,462,000 $-72,446,000 $28,274,000 $-14,521,000 $-36,022,000
2021 $289,804,000 $645,274,000 $643,125,000 $-8,475,000 $28,621,000 $-961,000 $27,010,000
2020 $210,337,000 $584,814,000 $565,279,000 $10,562,000 $51,410,000 $-27,588,000 $13,526,000