Recent Annual Filings for MAYS
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$89,525,035 |
$21,593,264 |
$22,136,832 |
$-406,568 |
$1,434,730 |
$-1,308,071 |
$67,866 |
2023 |
$91,915,382 |
$22,576,455 |
$22,721,419 |
$-82,964 |
$2,221,910 |
$-1,252,196 |
$147,838 |
2022 |
$94,011,318 |
$21,396,035 |
$22,398,406 |
$-712,371 |
$1,689,445 |
$-1,198,600 |
$-364,822 |
2021 |
$97,509,122 |
$20,212,879 |
$19,973,847 |
$398,032 |
$1,068,430 |
$-1,147,300 |
$-1,969,082 |
2020 |
$100,419,857 |
$19,531,846 |
$20,792,851 |
$-906,005 |
$1,570,539 |
$4,031,538 |
$-859,923 |
2019 |
$68,789,075 |
$20,478,180 |
$18,373,379 |
$1,514,801 |
$3,424,326 |
$-629,557 |
$-1,615,899 |
2018 |
$66,562,473 |
$19,300,882 |
$17,570,741 |
$3,092,801 |
$3,226,619 |
$144,906 |
$-126,122 |
2017 |
$64,848,939 |
$19,549,387 |
$16,642,848 |
$2,029,474 |
$3,982,274 |
$-1,018,614 |
$152,369 |