Recent Annual Filings for MOVE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,320,000 $1,013,000 $25,235,000 $-23,727,000 $-22,533,000 $24,325,000 $1,784,000
2023 $9,421,000 $-29,283,000 $-26,177,000 $21,600,000 $-4,641,000
2022 $13,243,000 $133,000 $30,595,000 $-30,329,000 $-24,902,000 $2,262,000 $-6,916,000
2021 $36,265,000 $-1,970,000 $19,803,000 $-21,784,000 $-16,183,000 $44,847,000 $11,965,000
2013 $236,789,000 $227,033,000 $226,472,000 $493,000 $32,682,000 $77,059,000 $91,557,000
2012 $136,869,000 $199,233,000 $193,211,000 $5,586,000 $29,100,000 $-47,603,000 $-60,457,000
2011 $164,921,000 $191,724,000 $184,191,000 $7,146,000 $16,431,000 $-81,209,000 $-70,938,000