Recent Annual Filings for MIRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $670,754,000 $336,888,000 $423,800,000 $-89,959,000 $10,325,000 $17,699,000 $-62,101,000
2023 $646,621,000 $186,374,000 $348,798,000 $-161,554,000 $-70,944,000 $336,600,000 $158,456,000
2022 $352,906,000 $77,062,000 $219,133,000 $-135,847,000 $-120,136,000 $109,087,000 $-3,349,000
2021 $294,651,000 $19,138,000 $103,089,000 $-84,106,000 $-132,758,000 $73,466,000 $-10,745,000
2020 $240,864,000 $-103,316,000 $-89,075,000 $181,288,000 $130,087,000
2019 $146,712,000 $-52,424,000 $-39,362,000 $127,177,000 $-39,966,000