Recent Annual Filings for MATX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,595,400,000 $3,421,800,000 $2,870,500,000 $478,100,000 $767,800,000 $-301,200,000 $130,500,000
2023 $4,294,600,000 $3,094,600,000 $2,751,800,000 $295,800,000 $510,500,000 $-289,700,000 $-117,400,000
2022 $4,330,000,000 $4,343,000,000 $2,989,400,000 $1,087,900,000 $1,271,900,000 $-576,600,000 $-34,000,000
2021 $3,693,100,000 $3,925,300,000 $2,737,800,000 $947,300,000 $984,100,000 $-392,700,000 $268,000,000
2020 $2,900,600,000 $2,383,300,000 $2,103,000,000 $179,200,000 $429,800,000 $-261,500,000 $-8,700,000
2019 $2,845,400,000 $2,203,100,000 $2,074,000,000 $80,300,000 $248,800,000 $62,000,000 $3,900,000
2018 $2,430,400,000 $2,222,800,000 $2,059,000,000 $105,400,000 $305,000,000 $-40,000,000 $4,700,000
2017 $2,247,500,000 $2,046,900,000 $1,897,500,000 $230,700,000 $224,900,000 $57,900,000 $5,900,000