Recent Annual Filings for MAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,201,000,000 $17,853,900,000 $17,597,100,000 $168,100,000 $309,200,000 $-282,400,000 $-71,900,000
2023 $8,830,200,000 $18,914,500,000 $18,708,600,000 $81,500,000 $348,200,000 $-349,500,000 $-57,700,000
2022 $9,130,400,000 $19,827,500,000 $19,270,400,000 $304,500,000 $423,300,000 $-482,100,000 $-208,800,000
2021 $9,828,900,000 $20,724,400,000 $20,156,300,000 $390,300,000 $644,800,000 $-283,700,000 $-719,300,000
2020 $9,328,200,000 $18,001,000,000 $17,853,300,000 $67,500,000 $936,400,000 $-435,200,000 $541,300,000
2019 $9,223,800,000 $20,863,500,000 $20,178,000,000 $424,500,000 $814,400,000 $-337,400,000 $433,900,000
2018 $8,519,800,000 $21,991,200,000 $21,236,500,000 $460,400,000 $483,100,000 $-484,900,000 $-97,100,000
2017 $8,883,600,000 $21,034,300,000 $20,297,000,000 $683,300,000 $400,900,000 $-319,300,000 $90,500,000