Recent Annual Filings for MET

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $687,584,000,000 $66,905,000,000 $64,743,000,000 $4,963,000,000 $13,721,000,000 $-2,940,000,000 $535,000,000
2022 $666,611,000,000 $69,898,000,000 $67,039,000,000 $-35,450,000,000 $13,204,000,000 $-10,108,000,000 $476,000,000
2021 $759,708,000,000 $71,080,000,000 $62,954,000,000 $-575,000,000 $12,596,000,000 $-1,375,000,000 $34,000,000
2020 $795,146,000,000 $67,842,000,000 $60,915,000,000 $10,443,000,000 $11,639,000,000 $10,729,000,000 $3,799,000,000
2019 $740,463,000,000 $69,620,000,000 $62,825,000,000 $17,224,000,000 $13,786,000,000 $4,568,000,000 $768,000,000
2018 $687,538,000,000 $67,941,000,000 $61,634,000,000 $-1,487,000,000 $11,738,000,000 $-2,801,000,000 $3,120,000,000
2017 $719,892,000,000 $62,308,000,000 $58,772,000,000 $7,405,000,000 $12,283,000,000 $-906,000,000 $-5,176,000,000
2016 $898,764,000,000 $63,476,000,000 $63,671,000,000 $1,468,000,000 $14,827,000,000 $-3,550,000,000 $5,125,000,000