Recent Annual Filings for MCFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $353,976,000 $662,046,000 $544,459,000 $111,967,000 $134,196,000 $-27,148,000 $-14,386,000
2022 $297,052,000 $707,862,000 $631,476,000 $58,214,000 $73,311,000 $-62,540,000 $-5,049,000
2021 $276,460,000 $525,808,000 $453,980,000 $56,170,000 $68,538,000 $-17,773,000 $22,933,000
2020 $207,923,000 $363,073,000 $394,685,000 $-24,047,000 $30,198,000 $-5,487,000 $10,493,000
2019 $248,773,000 $466,381,000 $439,635,000 $21,354,000 $55,886,000 $37,817,000 $-2,083,000
2018 $176,924,000 $332,725,000 $280,216,000 $39,653,000 $49,397,000 $40,194,000 $3,871,000
2017 $83,321,000 $228,634,000 $197,341,000 $19,570,000 $26,232,000 $-18,132,000 $3,965,000
2016 $82,533,000 $221,600,000 $203,082,000 $10,210,000 $30,747,000 $-28,024,000 $-1,094,000