Recent Annual Filings for MESA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $596,858,000 $476,409,000 $542,229,000 $-91,015,000 $34,244,000 $-200,474,000 $-17,442,000
2023 $898,467,000 $498,065,000 $582,411,000 $-120,116,000 $-24,091,000 $-143,147,000 $-24,953,000
2022 $1,115,602,000 $531,001,000 $720,726,000 $-182,678,000 $13,362,000 $-77,569,000 $-62,842,000
2021 $1,456,597,000 $503,591,000 $440,395,000 $16,588,000 $132,871,000 $-78,374,000 $21,026,000
2020 $1,501,930,000 $545,070,000 $464,903,000 $27,464,000 $174,662,000 $-117,655,000 $30,340,000
2019 $1,451,917,000 $723,357,000 $602,220,000 $47,580,000 $151,676,000 $-81,467,000 $-34,633,000
2018 $1,472,388,000 $681,595,000 $608,947,000 $33,255,000 $118,939,000 $66,411,000 $46,523,000