Recent Annual Filings for MDIA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $325,501,000 $95,571,000 $123,777,000 $-1,302,000 $-19,862,000 $33,902,000 $-138,000
2023 $95,491,000 $32,391,000 $39,178,000 $-7,631,000 $-5,315,000 $-1,249,000 $-8,230,000
2022 $96,705,000 $38,595,000 $48,054,000 $30,914,000 $2,198,000 $-70,209,000 $9,180,000
2021 $148,210,000 $55,493,000 $61,217,000 $-6,082,000 $2,940,000 $267,000 $1,950,000
2020 $146,351,000 $39,261,000 $50,453,000 $-26,753,000 $-9,643,000 $12,140,000 $2,088,000