Recent Annual Filings for MNSBP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,228,098,000 $137,867,000 $151,771,000 $-10,213,000 $14,740,000 $200,733,000 $93,195,000
2023 $2,035,432,000 $2,149,000 $-30,675,000 $27,653,000 $31,633,000 $83,028,000 $-16,087,000
2022 $1,925,751,000 $2,420,000 $-30,968,000 $17,931,000 $33,544,000 $232,593,000 $37,401,000
2021 $1,647,402,000 $64,199,000 $36,243,000 $21,391,000 $60,388,000 $-14,202,000 $-14,329,000
2020 $1,643,165,000 $62,072,000 $42,512,000 $16,271,000 $17,016,000 $339,454,000 $42,684,000