Recent Annual Filings for MD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,152,700,000 $2,012,919,000 $2,114,260,000 $-97,926,000 $206,573,000 $-14,485,000 $156,682,000
2023 $2,219,810,000 $1,994,640,000 $2,042,999,000 $-58,887,000 $137,325,000 $-25,715,000 $63,434,000
2022 $2,347,887,000 $1,972,021,000 $1,890,651,000 $61,284,000 $166,941,000 $-487,554,000 $-377,567,000
2021 $2,722,546,000 $1,911,191,000 $1,775,963,000 $130,937,000 $76,737,000 $-760,116,000 $-736,452,000
2020 $3,347,948,000 $1,733,951,000 $1,726,803,000 $-796,488,000 $204,620,000 $-4,158,000 $1,015,973,000
2019 $4,145,901,000 $3,513,542,000 $4,755,522,000 $-1,497,702,000 $346,637,000 $-393,070,000 $56,022,000
2018 $5,934,911,000 $3,647,123,000 $3,278,284,000 $268,629,000 $289,925,000 $-170,611,000 $-23,455,000
2017 $5,867,278,000 $3,458,312,000 $3,047,890,000 $320,372,000 $511,378,000 $89,737,000 $24,502,000