Recent Annual Filings for MDU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,038,818,000 $1,757,978,000 $1,559,316,000 $282,694,000 $502,318,000 $40,296,000 $-10,071,000
2023 $7,833,159,000 $4,657,340,000 $4,117,442,000 $414,600,000 $332,627,000 $204,622,000 $-3,542,000
2022 $9,660,781,000 $6,973,864,000 $6,511,805,000 $377,910,000 $510,064,000 $155,173,000 $26,356,000
2021 $8,910,435,000 $5,680,733,000 $5,214,082,000 $385,205,000 $495,777,000 $384,715,000 $-5,386,000
2020 $8,053,372,000 $5,532,750,000 $5,057,633,000 $384,229,000 $768,374,000 $-145,043,000 $-6,912,000
2019 $7,683,059,000 $5,336,776,000 $4,938,331,000 $331,693,000 $542,280,000 $74,092,000 $12,511,000
2018 $6,988,110,000 $4,531,552,000 $4,214,681,000 $279,269,000 $499,881,000 $230,376,000 $19,349,000
2017 $6,334,666,000 $4,443,351,000 $4,093,324,000 $279,602,000 $448,011,000 $-245,350,000 $-11,508,000