Recent Annual Filings for MCW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,101,796,000 $994,727,000 $892,060,000 $70,239,000 $248,620,000 $-275,000 $48,493,000
2023 $2,881,536,000 $927,070,000 $824,029,000 $80,130,000 $204,653,000 $8,609,000 $-46,103,000
2022 $2,686,232,000 $876,506,000 $730,682,000 $112,900,000 $229,201,000 $6,294,000 $45,364,000
2021 $2,448,102,000 $758,357,000 $805,495,000 $-20,703,000 $173,354,000 $272,462,000 $-98,016,000