Recent Annual Filings for MPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $193,802,000 $383,729,000 $331,667,000 $43,690,000 $56,846,000 $-20,194,000 $28,781,000
2022 $163,715,000 $380,995,000 $328,861,000 $40,928,000 $49,348,000 $-17,779,000 $29,069,000
2021 $132,841,000 $298,014,000 $261,606,000 $28,397,000 $457,000 $-16,680,000 $-17,471,000
2020 $119,422,000 $239,825,000 $215,369,000 $20,245,000 $29,874,000 $-16,040,000 $11,769,000
2019 $104,764,000 $292,136,000 $257,678,000 $28,080,000 $33,917,000 $-28,203,000 $11,059,000
2018 $100,880,000 $298,616,000 $262,961,000 $28,293,000 $22,775,000 $-24,774,000 $1,061,000
2017 $95,900,000 $267,316,000 $237,328,000 $19,502,000 $29,639,000 $-18,025,000 $5,065,000
2016 $88,527,000 $241,330,000 $217,923,000 $16,464,000 $15,837,000 $-43,779,000 $-5,367,000