Recent Annual Filings for MSGM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,268,221 $8,687,462 $11,735,533 $-1,900,712 $-2,838,146 $834,051 $-822,610
2023 $9,758,704 $6,909,674 $21,232,859 $-15,239,995 $-12,916,182 $9,937,034 $1,231,699
2022 $18,897,792 $10,324,559 $47,165,013 $-36,828,485 $-19,520,470 $1,712,853 $-18,100,063
2021 $50,703,203 $15,075,530 $48,780,275 $-34,655,048 $-20,941,664 $49,487,235 $13,931,128