Recent Annual Filings for MBIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,308,000 $-15,752,000 $-11,410,000 $11,265,000
2023 $17,742,000 $-51,602,000 $-49,477,000 $-26,081,000 $-69,672,000
2022 $92,422,000 $-77,525,000 $-65,066,000 $34,056,000 $-33,962,000
2021 $125,170,000 $-66,370,000 $-53,667,000 $70,847,000 $11,814,000
2020 $109,900,000 $-60,015,000 $-37,319,000 $78,122,000 $36,391,000
2019 $73,445,000 $-46,389,000 $-33,581,000 $65,116,000 $45,444,000
2018 $42,754,000 $31,173,000 $-30,662,000 $-19,244,000 $181,000 $-18,506,000
2017 $63,493,000 $-31,288,000 $-12,948,000 $49,976,000 $7,976,000