Recent Annual Filings for MEIP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $41,375,000 $65,297,000 $50,755,000 $17,778,000 $-50,473,000 $-11,868,000 $-13,201,000
2023 $120,809,000 $48,816,000 $85,580,000 $-31,838,000 $-52,484,000 $-40,000 $1,166,000
2022 $177,840,000 $40,697,000 $116,181,000 $-54,454,000 $-48,746,000 $49,051,000 $7,197,000
2021 $174,098,000 $25,535,000 $95,220,000 $-50,575,000 $-31,964,000 $3,468,000 $-3,788,000
2020 $209,728,000 $28,913,000 $53,453,000 $-46,016,000 $34,258,000 $74,777,000 $2,741,000
2019 $82,663,000 $4,915,000 $51,160,000 $-16,819,000 $-29,423,000 $1,386,000 $-3,719,000
2018 $104,657,000 $1,622,000 $30,208,000 $-40,068,000 $-21,302,000 $70,480,000 $4,851,000
2017 $55,704,000 $23,249,000 $20,865,000 $2,670,000 $3,486,000 $4,212,000 $-2,379,000