Recent Annual Filings for MYSZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,059,000 $8,257,000 $12,252,000 $-4,049,000 $-3,092,000 $5,594,000 $2,555,000
2023 $8,991,000 $6,996,000 $13,709,000 $-6,514,000 $-6,106,000 $6,134,000 $21,000
2022 $9,727,000 $4,459,000 $12,805,000 $-8,541,000 $-7,290,000 $-67,000 $-8,350,000
2021 $12,558,000 $131,000 $-10,389,000 $-10,502,000 $-7,297,000 $16,292,000 $9,169,000
2020 $3,566,000 $142,000 $6,299,000 $-6,272,000 $-5,679,000 $6,094,000 $308,000
2019 $2,958,000 $42,000 $6,032,000 $-5,201,000 $-5,418,000 $266,000 $-3,764,000
2018 $7,117,000 $-6,670,000 $-3,597,000 $9,040,000 $3,358,000
2017 $2,418,000 $-5,343,000 $-3,817,000 $5,609,000 $1,768,000