Recent Annual Filings for MKTW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $259,515,000 $408,701,000 $319,713,000 $93,099,000 $-22,150,000 $-34,458,000 $-57,298,000
2023 $396,555,000 $448,182,000 $396,377,000 $54,316,000 $62,428,000 $-63,953,000 $-3,401,000
2022 $442,508,000 $512,403,000 $425,120,000 $101,223,000 $48,374,000 $-16,192,000 $18,997,000
2021 $421,554,000 $549,183,000 $1,516,776,000 $-953,984,000 $63,632,000 $-30,678,000 $24,651,000