Cash flow from operations for The Monarch Cement Company for its quarter ended June 30, 2007 was $4,541,895, a 65% increase over the year earlier same quarter when Monarch Cement generated $2,747,807.


For Monarch Cement’s twelve months ended June 30, 2007 Cash Flow from Operations was $17,229,836, compared with $22,360,958, a 23% decrease over the comparable year earlier twelve months.