Recent Annual Filings for MAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,567,039,000 $918,204,000 $958,776,000 $-196,747,000 $283,445,000 $-316,050,000 $-12,815,000
2023 $7,513,512,000 $884,068,000 $871,201,000 $-279,683,000 $295,502,000 $-338,888,000 $9,155,000
2022 $8,094,139,000 $859,164,000 $925,980,000 $-64,423,000 $337,510,000 $-321,940,000 $14,168,000
2021 $8,345,655,000 $847,437,000 $915,755,000 $24,347,000 $286,368,000 $-837,024,000 $-315,688,000
2020 $9,184,005,000 $786,026,000 $773,487,000 $-244,619,000 $124,837,000 $446,454,000 $368,443,000
2019 $8,853,571,000 $927,462,000 $859,918,000 $97,969,000 $355,157,000 $-278,216,000 $-35,085,000
2018 $9,026,808,000 $960,351,000 $934,931,000 $64,548,000 $344,311,000 $-514,438,000 $6,196,000
2017 $9,605,862,000 $993,662,000 $930,758,000 $161,631,000 $386,389,000 $-566,269,000 $-3,008,000