Recent Annual Filings for MCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,300,749,000 $23,936,000 $-73,145,000 $66,488,000 $148,459,000 $151,955,000 $-69,197,000
2023 $7,067,672,000 $27,880,000 $-79,038,000 $78,630,000 $42,426,000 $745,070,000 $12,047,000
2022 $6,267,337,000 $26,851,000 $-70,047,000 $12,631,000 $85,891,000 $-958,473,000 $-2,101,932,000
2021 $7,116,358,000 $23,150,000 $-66,420,000 $52,078,000 $37,277,000 $2,760,765,000 $1,495,045,000
2020 $4,330,821,000 $143,097,000 $85,179,000 $39,232,000 $87,270,000 $876,850,000 $475,085,000
2019 $3,357,572,000 $129,780,000 $85,719,000 $31,746,000 $40,957,000 $1,132,103,000 $158,271,000
2018 $2,182,644,000 $83,945,000 $47,170,000 $25,287,000 $27,060,000 $399,229,000 $-28,281,000
2017 $1,759,855,000 $60,753,000 $37,175,000 $12,328,000 $-1,341,000 $513,617,000 $178,300,000