Recent Annual Filings for MNOV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $66,269,977 $1,000,000 $9,568,469 $-8,574,321 $-7,431,038 $-32,476,678
2022 $74,154,905 $-14,085,491 $-12,911,563 $7,920 $-52,908,653
2021 $87,406,458 $4,037,500 $14,169,184 $-10,144,910 $-9,381,605 $20,777,981 $11,367,644
2020 $75,419,110 $-13,849,435 $-10,826,362 $7,105,759 $-3,757,095
2019 $79,205,174 $-12,941,189 $-9,124,987 $10,615,551 $1,479,292
2018 $77,222,692 $-14,673,614 $-9,114,121 $42,808,781 $34,321,675
2017 $43,419,064 $-11,161,759 $-6,923,934 $10,797,026 $3,873,706
2016 $39,813,134 $-10,859,214 $-6,546,213 $8,665,636 $2,041,288