Recent Annual Filings for MLACU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $233,231,190 $443,117 $-159,847 $232,693,239 $1,383,392
2022 $5,512,051 $3,008,083 $-1,388,732 $-137,411,738 $-78,425
2021 $143,962,007 $6,050,466 $-1,218,150 $600,000 $-618,150
2020 $144,622,425 $-245,356 $-303,752 $144,784,589 $730,837