Recent Annual Filings for MRKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,022,860 $6,591,080 $17,272,442 $-10,731,315 $-10,910,324 $14,991,314
2023 $17,127,391 $3,311,133 $17,353,353 $-8,236,814 $-16,439,961 $1,105,117 $3,329,278
2022 $34,422,184 $9,013,544 $38,944,238 $-29,930,694 $-26,972,153 $202,130 $-31,715,159
2021 $68,135,134 $1,241,710 $40,719,705 $-41,878,871 $-27,279,765 $52,555,845 $22,144,949
2020 $45,614,815 $466,785 $29,172,855 $-28,706,070 $-18,859,631 $6,736,011 $-22,551,567
2019 $46,359,282 $213,194 $21,641,158 $-21,427,964 $-18,284,293 $816,477 $-17,842,799
2018 $62,144,310 $205,994 $148,377,627 $-147,957,910 $-14,479,916 $71,245,043 $56,617,459