Recent Annual Filings for MVST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $951,867,000 $379,801,000 $575,258,000 $-208,037,000 $2,814,000 $37,589,000 $21,412,000
2023 $1,096,732,000 $306,617,000 $413,019,000 $-114,033,000 $-75,303,000 $33,041,000 $-214,428,000
2022 $984,957,000 $204,495,000 $362,662,000 $-158,200,000 $-53,928,000 $4,967,000 $-233,492,000
2021 $995,291,000 $151,976,000 $358,459,000 $-206,483,000 $-45,039,000 $624,949,000 $494,913,000