Recent Annual Filings for MED

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $284,213,000 $602,463,000 $598,676,000 $2,023,000 $24,476,000 $-1,515,000 $-3,512,000
2023 $309,908,000 $1,072,054,000 $943,257,000 $99,639,000 $147,657,000 $-79,789,000 $6,749,000
2022 $316,213,000 $1,598,577,000 $1,414,518,000 $143,481,000 $194,570,000 $-199,581,000 $-16,492,000
2021 $398,326,000 $1,526,087,000 $1,309,958,000 $164,101,000 $94,545,000 $-125,133,000 $-59,540,000
2020 $276,084,000 $934,842,000 $800,577,000 $102,875,000 $145,196,000 $-57,144,000 $86,749,000
2019 $194,653,000 $713,672,000 $621,309,000 $78,114,000 $84,261,000 $-82,324,000 $-4,390,000
2018 $169,429,000 $501,003,000 $430,455,000 $55,776,000 $60,816,000 $-53,328,000 $6,287,000
2017 $145,929,000 $301,563,000 $261,237,000 $27,726,000 $43,237,000 $-17,362,000 $22,641,000