Recent Annual Filings for MDB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,430,293,000 $2,006,443,000 $2,138,042,000 $-134,541,000 $150,191,000 $202,060,000 $-310,890,000
2024 $2,869,642,000 $1,683,011,000 $1,846,527,000 $-171,150,000 $121,477,000 $38,241,000 $347,304,000
2023 $2,588,893,000 $1,284,040,000 $1,617,294,000 $-343,375,000 $-12,970,000 $30,200,000 $-18,081,000
2022 $2,449,588,000 $873,782,000 $1,176,671,000 $-309,090,000 $6,980,000 $890,892,000 $44,198,000
2021 $1,407,495,000 $590,380,000 $853,073,000 $-267,873,000 $-42,673,000 $27,581,000 $-276,484,000
2020 $1,328,567,000 $421,720,000 $597,898,000 $-175,123,000 $-29,540,000 $589,238,000 $558,359,000
2019 $733,476,000 $267,016,000 $369,345,000 $-99,026,000 $-41,989,000 $288,236,000 $85,920,000
2018 $415,196,000 $154,519,000 $249,591,000 $-96,154,000 $-44,881,000 $209,892,000 $-6,985,000