Recent Annual Filings for MRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2018 $632,789,000 $57,260,000 $35,278,000 $10,470,000 $23,466,000 $38,253,000 $-4,270,000
2017 $581,603,000 $61,105,000 $36,953,000 $25,399,000 $41,403,000 $38,797,000 $3,131,000
2016 $519,753,000 $49,296,000 $37,980,000 $11,316,000 $30,336,000 $-32,961,000 $-2,965,000