Recent Annual Filings for MULN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $178,631,289 $1,094,322 $510,809,573 $-505,826,551 $-185,555,481 $56,755,744 $-144,947,792
2023 $421,705,730 $366,000 $1,018,013,310 $-1,006,658,828 $-179,172,191 $358,416,885 $71,321,385
2022 $302,594,479 $-740,324,752 $-65,795,610 $197,282,630 $84,332,911