Recent Annual Filings for MG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $523,038,000 $729,640,000 $705,396,000 $4,628,000 $50,129,000 $-27,398,000 $671,000
2023 $534,776,000 $705,473,000 $724,138,000 $-12,387,000 $26,748,000 $-7,706,000 $-2,842,000
2022 $534,904,000 $687,373,000 $678,079,000 $-6,510,000 $26,406,000 $-16,323,000 $-3,622,000
2021 $562,195,000 $677,131,000 $669,843,000 $-359,000 $42,261,000 $-23,245,000 $-1,650,000
2020 $583,313,000 $592,571,000 $706,743,000 $-94,237,000 $67,802,000 $-44,169,000 $10,744,000
2019 $719,878,000 $748,586,000 $738,147,000 $12,335,000 $59,110,000 $-44,137,000 $-10,528,000
2018 $694,037,000 $742,354,000 $728,083,000 $-3,907,000 $41,664,000 $113,969,000 $-1,997,000
2017 $554,441,000 $700,970,000 $701,196,000 $10,751,000 $55,239,000 $53,605,000 $10,727,000