Recent Annual Filings for MCY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,310,632,000 $5,475,633,000 $4,900,753,000 $467,953,000 $1,037,117,000 $-71,107,000 $169,354,000
2023 $7,103,397,000 $4,629,631,000 $4,530,203,000 $96,336,000 $452,988,000 $103,576,000 $261,127,000
2022 $6,514,188,000 $3,643,066,000 $4,313,781,000 $-512,672,000 $352,589,000 $-81,986,000 $-45,781,000
2021 $6,772,472,000 $3,993,357,000 $3,694,050,000 $247,937,000 $501,584,000 $-140,836,000 $-12,922,000
2020 $6,328,246,000 $3,784,511,000 $3,326,010,000 $374,607,000 $605,616,000 $-140,249,000 $54,081,000
2019 $5,889,157,000 $3,972,518,000 $3,594,449,000 $320,087,000 $519,678,000 $-138,370,000 $-19,893,000
2018 $5,433,729,000 $3,380,004,000 $3,410,619,000 $-5,728,000 $383,434,000 $-138,120,000 $22,878,000
2017 $5,101,323,000 $3,415,962,000 $3,248,877,000 $144,877,000 $341,405,000 $-84,713,000 $71,095,000