Recent Annual Filings for MCS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,044,528,000 $735,560,000 $719,390,000 $-6,632,000 $103,940,000 $-37,301,000 $-15,259,000
2023 $1,065,103,000 $729,575,000 $695,649,000 $15,152,000 $102,629,000 $-30,548,000 $35,332,000
2022 $1,064,598,000 $677,394,000 $669,088,000 $646,000 $93,209,000 $-92,411,000 $452,000
2021 $1,188,361,000 $458,244,000 $499,696,000 $-39,804,000 $46,251,000 $-47,168,000 $9,966,000
2020 $1,254,178,000 $237,688,000 $416,110,000 $-127,151,000 $-68,554,000 $69,097,000 $-11,530,000
2019 $1,359,186,000 $820,863,000 $752,672,000 $36,225,000 $141,479,000 $-43,842,000 $3,691,000
2018 $989,331,000 $707,120,000 $623,931,000 $55,695,000 $137,389,000 $-76,942,000 $1,180,000
2017 $1,017,797,000 $622,714,000 $547,119,000 $62,126,000 $109,036,000 $4,212,000 $13,009,000