Recent Annual Filings for MBUU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $739,624,000 $829,035,000 $886,820,000 $-56,301,000 $55,558,000 $-31,695,000 $-51,992,000
2023 $925,924,000 $1,388,365,000 $1,246,874,000 $107,077,000 $184,733,000 $-134,574,000 $-4,807,000
2022 $851,326,000 $1,214,877,000 $1,004,912,000 $161,562,000 $164,846,000 $-60,380,000 $42,265,000
2021 $742,784,000 $926,515,000 $778,254,000 $115,775,000 $131,314,000 $57,346,000 $7,692,000
2020 $477,346,000 $653,163,000 $569,431,000 $64,352,000 $94,141,000 $-47,323,000 $6,395,000
2019 $451,314,000 $684,016,000 $592,219,000 $68,857,000 $81,500,000 $2,375,000 $-34,231,000
2018 $365,768,000 $497,002,000 $407,615,000 $30,348,000 $58,455,000 $106,202,000 $28,801,000
2017 $223,663,000 $281,937,000 $233,269,000 $31,075,000 $35,856,000 $-19,719,000 $6,901,000