Recent Annual Filings for MGNI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,854,768,000 $668,170,000 $617,083,000 $20,441,000 $235,201,000 $-28,904,000 $157,001,000
2023 $2,688,806,000 $619,710,000 $774,719,000 $-158,109,000 $214,367,000 $-177,842,000 $-283,000
2022 $2,712,213,000 $577,069,000 $689,853,000 $-132,098,000 $192,550,000 $-30,172,000 $95,809,000
2021 $2,712,612,000 $468,413,000 $549,483,000 $-354,000 $126,589,000 $678,053,000 $112,962,000
2020 $938,960,000 $221,628,000 $275,862,000 $-54,344,000 $-12,065,000 $7,354,000 $28,843,000