Recent Annual Filings for MANH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $757,551,000 $1,042,352,000 $780,756,000 $214,480,000 $295,003,000 $-286,366,000 $-38,000
2023 $673,353,000 $928,725,000 $718,844,000 $177,062,000 $246,218,000 $-196,047,000 $45,441,000
2022 $570,178,000 $767,084,000 $614,384,000 $121,255,000 $179,630,000 $-204,460,000 $-31,417,000
2021 $539,708,000 $663,643,000 $529,310,000 $108,906,000 $185,183,000 $-120,418,000 $60,749,000
2020 $465,412,000 $586,372,000 $472,311,000 $86,825,000 $140,885,000 $-43,561,000 $94,594,000
2019 $372,279,000 $617,949,000 $502,025,000 $84,777,000 $146,908,000 $-121,487,000 $11,667,000
2018 $307,150,000 $559,157,000 $425,270,000 $99,668,000 $137,349,000 $-149,322,000 $-26,396,000
2017 $314,995,000 $594,599,000 $408,954,000 $120,536,000 $164,066,000 $-131,707,000 $29,907,000