Recent Annual Filings for MRBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,385,867,000 $5,735,000 $-16,051,000 $17,626,000 $9,597,000 $126,164,000 $-29,235,000
2023 $2,246,193,000 $4,928,000 $-12,039,000 $15,360,000 $18,854,000 $163,637,000 $18,306,000
2022 $2,062,228,000 $88,721,000 $60,801,000 $9,582,000 $84,671,000 $323,388,000 $14,911,000
2021 $1,713,443,000 $71,522,000 $25,220,000 $33,737,000 $165,123,000 $-37,872,000 $-13,264,000
2020 $1,720,197,000 $62,656,000 $28,120,000 $28,997,000 $-158,142,000 $526,540,000 $-2,627,000
2019 $1,150,019,000 $52,863,000 $39,349,000 $10,868,000 $21,569,000 $136,927,000 $15,419,000
2018 $997,388,000 $44,064,000 $33,574,000 $8,071,000 $11,030,000 $133,017,000 $-11,554,000