Recent Annual Filings for MITK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $413,753,000 $172,083,000 $169,852,000 $15,213,000 $31,688,000 $-25,882,000 $34,543,000
2023 $405,375,000 $172,552,000 $156,988,000 $22,009,000 $31,586,000 $1,701,000 $26,854,000
2022 $360,410,000 $143,943,000 $132,604,000 $-24,244,000 $26,351,000 $-21,143,000 $1,747,000
2021 $419,693,000 $119,797,000 $106,520,000 $7,358,000 $37,341,000 $143,680,000 $10,326,000
2020 $169,154,000 $101,310,000 $92,442,000 $11,552,000 $24,122,000 $3,403,000 $3,238,000
2019 $135,897,000 $84,590,000 $89,180,000 $-4,199,000 $14,250,000 $4,383,000 $7,720,000
2018 $127,150,000 $63,559,000 $71,365,000 $-12,540,000 $5,626,000 $-429,000 $-3,261,000
2017 $71,719,000 $45,390,000 $42,621,000 $14,281,000 $10,445,000 $687,000 $3,279,000