Recent Annual Filings for MCBS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,594,045,000 $118,146,000 $30,832,000 $57,473,000 $63,501,000 $35,701,000 $105,070,000
2023 $3,502,823,000 $101,479,000 $29,507,000 $53,784,000 $82,099,000 $-6,514,000 $-34,680,000
2022 $3,427,239,000 $119,611,000 $28,394,000 $80,809,000 $134,694,000 $255,266,000 $-261,856,000
2021 $3,106,158,000 $104,169,000 $21,550,000 $61,338,000 $65,433,000 $1,155,771,000 $290,653,000
2020 $1,897,489,000 $66,120,000 $17,356,000 $36,590,000 $142,558,000 $209,581,000 $-125,725,000
2019 $1,631,858,000 $60,975,000 $107,000 $44,821,000 $32,199,000 $124,076,000 $137,986,000