Recent Annual Filings for MHH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $111,484,000 $198,943,000 $194,519,000 $3,136,000 $7,192,000 $654,000 $6,905,000
2023 $105,227,000 $201,098,000 $210,129,000 $-7,227,000 $15,978,000 $-1,578,000 $14,184,000
2022 $108,879,000 $242,238,000 $229,747,000 $7,764,000 $12,615,000 $-10,414,000 $1,383,000
2021 $113,702,000 $222,012,000 $205,126,000 $12,153,000 $5,216,000 $-4,093,000 $-1,055,000
2020 $102,046,000 $194,101,000 $181,468,000 $9,680,000 $21,231,000 $-6,714,000 $4,696,000
2019 $90,584,000 $193,574,000 $178,355,000 $10,906,000 $16,084,000 $-13,389,000 $1,687,000
2018 $92,584,000 $177,164,000 $167,750,000 $6,555,000 $-471,000 $550,000 $-1,184,000
2017 $98,604,000 $147,882,000 $144,934,000 $1,650,000 $3,357,000 $34,226,000 $1,649,000