Recent Annual Filings for MQ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,463,204,000 $506,995,000 $478,915,000 $26,211,000 $58,170,000 $-186,914,000 $-57,956,000
2023 $1,589,691,000 $676,171,000 $906,746,000 $-214,963,000 $21,104,000 $-261,794,000 $-202,174,000
2022 $1,770,346,000 $748,206,000 $933,088,000 $-189,787,000 $-12,966,000 $-79,487,000 $-63,735,000
2021 $1,830,378,000 $517,175,000 $681,744,000 $-166,184,000 $56,972,000 $1,299,297,000 $1,027,148,000