Recent Annual Filings for MLAB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $446,796,000 $216,187,000 $491,835,000 $-256,206,000 $44,133,000 $32,836,000 $-4,337,000
2023 $661,832,000 $219,080,000 $219,469,000 $-15,531,000 $27,983,000 $-33,328,000 $-14,839,000
2022 $707,369,000 $184,335,000 $180,761,000 $-10,579,000 $39,223,000 $52,576,000 $-213,426,000
2021 $601,475,000 $133,937,000 $131,634,000 $29,759,000 $37,073,000 $146,228,000 $181,309,000
2020 $420,206,000 $117,687,000 $114,254,000 $-6,589,000 $26,559,000 $231,277,000 $71,195,000
2019 $156,767,000 $103,135,000 $94,512,000 $5,105,000 $30,554,000 $-21,672,000 $4,716,000
2018 $164,101,000 $96,179,000 $95,878,000 $-638,000 $24,814,000 $-8,119,000 $-351,000
2017 $171,733,000 $93,665,000 $79,369,000 $10,574,000 $7,750,000 $10,708,000 $125,000