Recent Annual Filings for MYPS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $322,955,000 $289,429,000 $322,293,000 $-29,443,000 $45,740,000 $-41,913,000 $-23,105,000
2023 $366,321,000 $310,886,000 $321,373,000 $-19,118,000 $51,724,000 $-20,184,000 $-1,111,000
2022 $352,009,000 $290,309,000 $318,390,000 $-18,327,000 $33,384,000 $-9,571,000 $-79,502,000
2021 $334,844,000 $287,419,000 $290,409,000 $10,649,000 $33,876,000 $186,892,000 $164,575,000