Recent Annual Filings for MIST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $75,499,000 $-41,519,000 $-28,848,000 $32,119,000 $11,554,000
2023 $75,226,000 $-59,685,000 $-46,424,000 $47,792,000 $6,124,000
2022 $74,483,000 $-58,388,000 $-52,469,000 $3,088,000 $-106,505,000
2021 $119,849,000 $-42,853,000 $-33,224,000 $5,055,000 $41,831,000
2020 $149,974,000 $-49,967,000 $-50,732,000 $73,224,000 $-47,508,000
2019 $123,428,000 $-55,229,000 $-51,152,000 $85,407,000 $33,871,000