Recent Annual Filings for MRAM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $67,303,000 $63,765,000 $54,729,000 $9,052,000 $13,128,000 $-1,592,000 $10,151,000
2022 $55,333,000 $59,985,000 $53,842,000 $6,129,000 $9,493,000 $-1,521,000 $5,386,000
2021 $39,380,000 $55,146,000 $50,799,000 $4,343,000 $9,359,000 $-1,519,000 $6,810,000
2020 $32,529,000 $42,031,000 $50,283,000 $-8,512,000 $-2,923,000 $3,355,000 $112,000
2019 $35,372,000 $37,503,000 $52,172,000 $-14,669,000 $-8,116,000 $85,000 $-8,892,000
2018 $45,045,000 $49,417,000 $67,171,000 $-17,754,000 $-14,673,000 $27,016,000 $10,429,000
2017 $31,437,000 $35,936,000 $57,036,000 $-21,100,000 $-18,888,000 $5,181,000 $-16,777,000
2016 $41,472,000 $27,094,000 $42,615,000 $-16,708,000 $-18,539,000 $46,999,000 $27,420,000