Recent Annual Filings for MXCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $239,470,000 $38,627,000 $79,682,000 $-41,055,000 $-27,610,000 $2,056,000 $-18,622,000
2023 $268,274,000 $41,288,000 $79,211,000 $-37,923,000 $-21,686,000 $2,143,000 $35,441,000
2022 $286,653,400 $44,261,500 $67,832,300 $-23,570,800 $-14,782,900 $2,888,500 $-36,717,700
2021 $284,120,000 $33,894,100 $52,976,300 $-19,082,200 $-10,679,600 $234,720,000 $29,027,200