Recent Annual Filings for MEG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $816,786,000 $624,208,000 $656,047,000 $-31,090,000 $56,022,000 $-20,110,000 $-65,712,000
2022 $791,914,000 $544,416,000 $573,985,000 $-31,847,000 $20,649,000 $-38,764,000 $-56,802,000
2021 $833,094,000 $546,413,000 $570,029,000 $-25,360,000 $37,581,000 $146,103,000 $112,043,000
2020 $602,726,000 $328,243,000 $385,341,000 $-57,838,000 $1,850,000 $205,902,000 $28,012,000
2015 $4,408,352,000 $1,304,943,000 $1,339,984,000 $-34,508,000 $156,948,000 $-225,706,000 $-2,829,000
2014 $4,742,774,000 $674,963,000 $565,990,000 $14,407,000 $68,522,000 $589,602,000 $-27,698,000
2013 $1,921,368,000 $269,912,000 $236,085,000 $11,009,000 $7,800,000 $49,113,000 $47,374,000
2012 $773,421,000 $359,722,000 $386,048,000 $-227,957,000 $36,389,000 $-137,421,000 $13,694,000