Recent Annual Filings for MEC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $445,570,000 $581,604,000 $548,040,000 $25,968,000 $89,807,000 $-78,561,000 $-466,000
2023 $496,661,000 $588,425,000 $579,542,000 $7,844,000 $40,363,000 $64,314,000 $545,000
2022 $440,581,000 $539,392,000 $516,998,000 $18,727,000 $52,426,000 $-1,749,000 $9,000
2021 $379,473,000 $454,826,000 $464,220,000 $-7,451,000 $14,457,000 $19,501,000 $-3,000
2020 $338,533,000 $357,606,000 $366,772,000 $-7,092,000 $36,523,000 $-30,629,000 $120,000
2019 $363,582,000 $519,704,000 $528,544,000 $-4,753,000 $33,402,000 $-8,400,000 $-3,088,000