Recent Annual Filings for CMG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,204,374,000 $11,313,853,000 $9,397,520,000 $1,530,485,000 $2,105,076,000 $-1,073,699,000 $192,216,000
2023 $8,044,362,000 $9,871,649,000 $8,313,836,000 $1,229,968,000 $1,783,477,000 $-660,652,000 $177,197,000
2022 $6,927,504,000 $8,634,652,000 $7,474,249,000 $896,567,000 $1,323,179,000 $-929,404,000 $-437,264,000
2021 $6,652,958,000 $7,547,061,000 $6,742,118,000 $651,859,000 $1,282,081,000 $-548,606,000 $210,394,000
2020 $5,982,896,000 $5,984,634,000 $5,694,470,000 $356,900,000 $663,847,000 $-104,851,000 $127,355,000
2019 $5,104,604,000 $5,586,369,000 $5,142,411,000 $351,031,000 $721,632,000 $-201,735,000 $228,329,000
2018 $2,265,518,000 $4,864,985,000 $4,606,617,000 $173,976,000 $621,552,000 $-166,535,000 $65,982,000
2017 $2,045,692,000 $4,476,412,000 $4,205,618,000 $180,756,000 $467,105,000 $-285,894,000 $96,689,000