Recent Annual Filings for MSN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,065,000 $9,070,000 $12,469,000 $766,000 $-5,258,000 $-1,000 $-5,378,000
2023 $31,371,000 $7,177,000 $9,273,000 $-1,360,000 $-308,000 $-308,000
2022 $30,010,000 $8,206,000 $11,646,000 $-3,626,000 $-4,712,000 $-20,331,000
2021 $33,902,000 $7,445,000 $11,640,000 $-3,976,000 $-4,293,000 $204,000 $-1,031,000
2020 $37,901,000 $6,293,000 $10,919,000 $-4,307,000 $-1,911,000 $1,641,000
2019 $41,861,000 $8,982,000 $12,630,000 $-2,437,000 $-2,190,000 $-2,618,000 $-17,179,000
2018 $47,757,000 $15,022,000 $18,904,000 $-6,851,000 $-5,156,000 $-6,293,000 $-2,375,000
2017 $57,848,000 $21,251,000 $21,577,000 $-237,000 $1,869,000 $-66,000 $-2,625,000