Recent Annual Filings for MATW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,834,890,000 $1,795,737,000 $1,865,394,000 $-53,975,000 $79,282,000 $-35,043,000 $-1,285,000
2023 $1,887,381,000 $1,880,896,000 $1,839,986,000 $54,934,000 $79,524,000 $-50,195,000 $-29,313,000
2022 $1,882,771,000 $1,762,403,000 $1,866,622,000 $-97,266,000 $126,860,000 $-37,213,000 $3,071,000
2021 $2,032,078,000 $1,671,030,000 $1,661,797,000 $50,711,000 $162,811,000 $-122,852,000 $27,009,000
2020 $2,072,633,000 $1,498,306,000 $1,604,643,000 $-100,017,000 $180,447,000 $-172,252,000 $6,032,000
2019 $2,190,603,000 $1,537,276,000 $1,575,359,000 $-103,044,000 $131,083,000 $-75,042,000 $-6,270,000
2018 $2,375,485,000 $1,602,580,000 $1,504,587,000 $105,813,000 $147,574,000 $901,000 $-15,943,000
2017 $2,244,649,000 $1,515,608,000 $1,419,321,000 $101,805,000 $149,299,000 $-7,177,000 $1,804,000