Recent Annual Filings for MIND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $36,720,000 $46,863,000 $39,805,000 $5,074,000 $651,000 $-619,000 $52,000
2024 $33,491,000 $36,510,000 $36,272,000 $274,000 $-4,967,000 $-1,535,000 $4,516,000
2023 $32,858,000 $35,091,000 $41,823,000 $-6,917,000 $-2,905,000 $-1,895,000 $-4,330,000
2022 $42,020,000 $23,107,000 $36,725,000 $-15,511,000 $-17,134,000 $12,187,000 $417,000
2021 $39,763,000 $21,215,000 $34,681,000 $-22,529,000 $-6,360,000 $4,514,000 $1,377,000
2020 $58,228,000 $42,675,000 $53,084,000 $-13,680,000 $-5,817,000 $1,749,000 $-6,315,000
2019 $65,301,000 $42,942,000 $62,530,000 $-16,738,000 $-5,457,000 $5,145,000 $-597,000
2018 $73,679,000 $48,276,000 $68,435,000 $-20,234,000 $719,000 $-3,038,000 $6,635,000