Recent Annual Filings for MLNK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $996,251,000 $303,617,000 $322,213,000 $-42,539,000 $67,964,000 $-63,436,000 $24,661,000
2022 $1,059,157,000 $288,046,000 $282,622,000 $1,294,000 $74,587,000 $-8,121,000 $-57,865,000
2021 $1,025,893,000 $267,676,000 $272,531,000 $-9,996,000 $89,835,000 $110,228,000 $73,764,000
2017 $281,298,000 $436,620,000 $461,029,000 $-23,533,000 $-24,445,000 $-1,916,000 $-20,120,000
2016 $348,945,000 $459,023,000 $515,650,000 $-62,772,000 $-19,788,000 $-20,561,000 $11,359,000
2015 $446,502,000 $561,673,000 $578,027,000 $-28,887,000 $19,194,000 $-4,556,000 $-64,084,000
2014 $451,646,000 $723,400,000 $734,946,000 $-16,027,000 $9,815,000 $101,633,000 $105,599,000
2013 $343,696,000 $754,504,000 $790,055,000 $-38,083,000 $7,027,000 $26,041,000 $25,547,000