Recent Annual Filings for MRIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $19,315,000 $17,731,000 $39,798,000 $-21,949,000 $-14,583,000 $-209,000 $-16,599,000
2022 $42,084,000 $20,019,000 $37,941,000 $-18,148,000 $-18,137,000 $740,000 $-19,161,000
2021 $59,831,000 $24,420,000 $37,498,000 $-12,891,000 $-7,942,000 $41,479,000 $32,241,000
2020 $37,009,000 $29,983,000 $44,745,000 $-14,050,000 $-5,675,000 $10,233,000 $2,674,000
2019 $42,293,000 $49,036,000 $61,564,000 $-12,468,000 $-1,236,000 $260,000 $602,000
2018 $46,792,000 $58,631,000 $99,289,000 $-41,600,000 $-12,980,000 $-1,287,000 $-17,334,000
2017 $83,369,000 $74,991,000 $105,475,000 $-29,286,000 $-4,870,000 $-1,452,000 $-6,876,000
2016 $107,093,000 $99,878,000 $114,954,000 $-17,590,000 $5,719,000 $-383,000 $-578,000