Recent Annual Filings for MRVI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,008,244,000 $259,185,000 $494,802,000 $-259,622,000 $7,465,000 $-235,712,000 $-252,563,000
2023 $1,487,450,000 $288,945,000 $320,593,000 $-138,375,000 $126,224,000 $-61,090,000 $-57,176,000
2022 $2,282,315,000 $883,001,000 $308,785,000 $490,663,000 $535,977,000 $-187,499,000 $80,866,000
2021 $1,918,276,000 $799,240,000 $244,595,000 $469,305,000 $368,570,000 $-159,049,000 $315,088,000