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