Recent Annual Filings for MBINM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,805,732,000 $1,302,720,000 $880,078,000 $322,741,000 $-835,278,000 $1,601,741,000 $-107,812,000
2023 $16,952,516,000 $1,077,798,000 $729,891,000 $287,267,000 $-356,402,000 $3,974,741,000 $358,258,000
2022 $12,615,227,000 $480,833,000 $189,691,000 $210,654,000 $975,774,000 $1,080,627,000 $-806,450,000