Recent Annual Filings for MGM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $42,231,627,000 $17,240,545,000 $15,659,436,000 $863,014,000 $2,362,495,000 $-1,564,281,000 $-511,832,000
2023 $42,368,548,000 $16,164,249,000 $14,210,648,000 $1,425,138,000 $2,690,777,000 $-5,004,631,000 $-3,047,430,000
2022 $45,692,206,000 $13,127,485,000 $11,527,900,000 $271,759,000 $1,756,462,000 $-3,024,302,000 $859,267,000
2021 $40,899,116,000 $9,680,140,000 $7,486,264,000 $1,218,522,000 $1,373,423,000 $-2,814,095,000 $101,422,000
2020 $36,494,934,000 $5,162,082,000 $5,847,454,000 $-1,371,510,000 $-1,493,043,000 $2,103,427,000 $2,772,033,000
2019 $33,876,356,000 $12,899,672,000 $9,078,978,000 $2,213,745,000 $1,810,401,000 $-4,529,594,000 $802,842,000
2018 $30,210,706,000 $11,763,096,000 $10,441,300,000 $574,448,000 $1,722,539,000 $389,234,000 $26,767,000
2017 $29,159,178,000 $10,773,904,000 $9,204,401,000 $2,061,225,000 $2,206,411,000 $-568,778,000 $53,414,000