Recent Annual Filings for MSB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $101,728,455 $98,595,651 $5,321,408 $93,274,243 $93,936,096 $93,936,096
2024 $26,690,352 $22,862,029 $3,878,693 $18,983,336 $14,605,951 $14,605,951
2023 $14,117,298 $7,741,974 $2,432,889 $5,309,085 $13,864,616 $13,864,616
2022 $53,913,213 $71,459,790 $2,694,045 $68,765,745 $62,843,141 $-72,749,810
2021 $22,928,926 $25,950,567 $2,542,920 $23,407,647 $20,807,898 $-24,233,703
2020 $23,647,374 $31,990,874 $1,935,122 $30,055,752 $34,589,241 $-53,379,079
2019 $35,454,014 $47,293,765 $1,734,721 $45,559,044 $45,496,664 $-37,171,803
2018 $26,123,020 $34,567,557 $1,071,990 $33,495,567 $29,509,875 $-19,548,815 $-13,380,333