Recent Annual Filings for MIGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $61,440,495 $59,265,125 $104,625,342 $-46,798,691 $3,562,603 $-830,067 $1,613,498
2023 $84,766,244 $43,571,720 $96,168,194 $-62,769,126 $-2,545,664 $-4,647,279 $3,530,074
2022 $133,329,065 $84,385,407 $138,420,966 $-48,492,998 $14,256,294 $13,986,496 $-4,521,008
2021 $145,294,372 $43,862,656 $89,046,603 $-44,640,932 $22,953,792 $109,854,460 $4,354,462