Recent Annual Filings for MYO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $42,244,079 $32,551,199 $38,369,311 $-6,281,804 $-3,289,904 $20,932,429 $17,902,506
2023 $14,581,568 $19,241,158 $27,232,721 $-8,107,123 $-6,172,764 $9,713,457 $1,511,128
2022 $10,162,006 $15,555,229 $26,206,314 $-10,617,118 $-10,233,542 $376,858 $-10,167,477
2021 $20,095,412 $13,856,374 $24,139,775 $-10,420,316 $-9,547,695 $13,167,666 $3,293,509
2020 $14,709,782 $7,583,371 $19,147,282 $-11,576,601 $-9,032,896 $16,780,576 $7,701,928
2019 $6,598,693 $3,837,730 $14,550,739 $-10,713,009 $-10,341,817 $8,318,469 $-2,075,339
2018 $8,281,572 $2,444,104 $12,760,843 $-10,316,739 $-9,606,310 $3,337,598 $-6,395,579
2017 $13,974,992 $1,558,866 $8,106,980 $-12,097,479 $-6,153,419 $18,382,620 $12,162,199