Recent Annual Filings for MEDP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,100,866,000 $2,109,054,000 $1,662,184,000 $399,715,000 $608,815,000 $-154,009,000 $423,987,000
2023 $1,656,828,000 $1,885,842,000 $1,549,017,000 $285,130,000 $433,374,000 $-182,642,000 $217,184,000
2022 $1,352,495,000 $1,459,996,000 $1,181,299,000 $237,822,000 $388,050,000 $-775,775,000 $-433,039,000
2021 $1,659,935,000 $1,142,377,000 $943,762,000 $177,133,000 $263,327,000 $-44,453,000 $183,538,000
2020 $1,390,677,000 $925,925,000 $758,883,000 $147,994,000 $258,676,000 $-82,282,000 $145,846,000
2019 $1,143,071,000 $860,969,000 $733,706,000 $100,219,000 $201,867,000 $-73,918,000 $108,638,000
2018 $967,933,000 $704,589,000 $603,541,000 $71,402,000 $156,584,000 $-141,580,000 $-3,210,000
2017 $950,717,000 $436,152,000 $371,294,000 $42,130,000 $97,385,000 $-97,828,000 $-10,915,000