Recent Annual Filings for MRUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $455,494,000 $43,947,000 $195,694,000 $-147,024,000 $-142,207,000 $230,086,000 $56,575,000
2022 $376,542,000 $41,586,000 $171,821,000 $-152,421,000 $-149,899,000 $58,739,000 $-93,310,000
2021 $456,600,000 $49,107,000 $115,684,000 $-85,108,000 $-59,627,000 $281,955,000 $78,466,000
2020 $231,217,000 $29,943,000 $114,953,000 $-78,028,000 $-79,901,000 $39,520,000 $-34,530,000
2019 $263,376,000 $31,133,000 $86,090,000 $-56,459,000 $-63,048,000 $74,232,000 $33,083,000