Recent Annual Filings for MDV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $507,829,000 $46,761,000 $28,140,000 $5,476,000 $18,241,000 $-18,235,000 $8,401,000
2023 $530,895,830 $45,227,798 $42,914,011 $-9,711,412 $16,578,228 $71,544,771 $-5,479,235
2022 $456,026,046 $46,174,267 $61,550,521 $-471,612 $16,648,821 $-5,384,499 $-49,798,871