Recent Annual Filings for MBCN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,822,883,000 $90,301,000 $69,546,000 $23,422,000 $22,356,000 $111,213,000 $7,027,000
2022 $1,687,682,000 $54,906,000 $36,013,000 $-9,933,000 $18,362,000 $-75,393,000 $-65,685,000
2021 $1,331,006,000 $52,335,000 $29,637,000 $17,811,000 $15,422,000 $-79,231,000 $7,077,000
2020 $1,391,979,000 $52,638,000 $42,888,000 $10,791,000 $15,082,000 $197,547,000 $77,304,000
2019 $1,182,475,000 $54,525,000 $39,222,000 $14,707,000 $13,459,000 $-86,555,000 $-72,820,000
2018 $1,248,398,000 $50,357,000 $35,764,000 $11,140,000 $14,281,000 $130,309,000 $68,047,000
2017 $1,106,336,000 $43,995,000 $30,318,000 $9,345,000 $13,920,000 $88,722,000 $7,391,000
2016 $787,821,000 $29,994,000 $21,673,000 $5,222,000 $7,801,000 $46,924,000 $8,745,000