Recent Annual Filings for MA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $48,081,000,000 $28,167,000,000 $12,913,000,000 $12,540,000,000 $14,780,000,000 $-10,836,000,000 $343,000,000
2023 $42,448,000,000 $25,098,000,000 $11,459,000,000 $11,349,000,000 $11,980,000,000 $-9,488,000,000 $1,269,000,000
2022 $38,724,000,000 $22,237,000,000 $10,505,000,000 $9,486,000,000 $11,195,000,000 $-10,328,000,000 $-706,000,000
2021 $37,669,000,000 $18,884,000,000 $8,577,000,000 $8,558,000,000 $9,463,000,000 $-6,555,000,000 $-2,517,000,000
2020 $33,584,000,000 $15,301,000,000 $7,541,000,000 $6,404,000,000 $7,224,000,000 $-2,152,000,000 $3,450,000,000
2019 $29,236,000,000 $16,883,000,000 $7,152,000,000 $8,163,000,000 $8,183,000,000 $-5,867,000,000 $632,000,000
2018 $24,860,000,000 $14,950,000,000 $7,746,000,000 $5,638,000,000 $6,223,000,000 $-4,966,000,000 $745,000,000
2017 $21,329,000,000 $12,497,000,000 $5,975,000,000 $4,342,000,000 $5,555,000,000 $-4,764,000,000 $-788,000,000