Recent Annual Filings for MC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,179,759,000 $854,748,000 $883,895,000 $-26,857,000 $158,472,000 $-229,173,000 $-20,324,000
2022 $1,216,869,000 $985,297,000 $768,977,000 $164,349,000 $32,994,000 $-326,901,000 $-313,475,000
2021 $1,555,681,000 $1,540,611,000 $1,004,298,000 $422,547,000 $936,980,000 $-602,541,000 $317,730,000
2020 $1,196,444,000 $943,276,000 $673,163,000 $216,398,000 $429,215,000 $-351,790,000 $34,712,000
2019 $1,071,699,000 $746,534,000 $599,029,000 $137,144,000 $209,307,000 $-252,692,000 $-93,199,000
2018 $914,375,000 $885,840,000 $647,388,000 $207,551,000 $390,889,000 $-351,741,000 $47,877,000
2017 $699,068,000 $684,615,000 $334,264,000 $128,351,000 $233,183,000 $-272,512,000 $-105,735,000
2016 $598,800,000 $613,373,000 $446,699,000 $140,131,000 $231,456,000 $-157,899,000 $70,904,000