Recent Annual Filings for MNPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $60,291,071 $-15,536,295 $-6,404,139 $59,292,257 $38,549,715
2023 $7,345,159 $429,039 $9,260,274 $-8,425,270 $-7,858,293 $2,027,227 $-903,318
2022 $13,226,954 $21,239 $10,536,877 $-10,503,536 $-7,228,559 $32,873 $-12,114,197
2021 $20,521,614 $24,024 $9,151,272 $-9,098,511 $7,317,401 $10,879,537
2020 $16,868,657 $81,902 $6,590,777 $-6,301,476 $-4,662,274 $8,182,120 $3,523,180
2019 $13,352,021 $-4,233,448 $-3,017,680 $9,347,411 $6,321,157