Recent Annual Filings for MFIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,868,606,000 $290,702,000 $227,766,000 $41,974,000 $115,513,000 $239,992,000 $19,727,000
2023 $2,587,827,000 $251,040,000 $165,004,000 $60,779,000 $113,764,000 $271,179,000 $44,247,000
2022 $2,259,879,000 $196,621,000 $128,771,000 $45,504,000 $108,740,000 $321,379,000 $-18,886,000
2021 $1,873,057,000 $158,966,000 $77,095,000 $56,676,000 $78,726,000 $172,039,000 $12,444,000
2020 $1,642,411,000 $110,811,000 $147,792,000 $-25,894,000 $78,706,000 $136,470,000 $44,219,000
2019 $1,541,667,000 $97,517,000 $95,180,000 $3,077,000 $64,935,000 $151,683,000 $10,108,000
2018 $1,381,846,000 $100,836,000 $111,558,000 $-22,821,000 $78,144,000 $-27,654,000 $15,200,000