Recent Annual Filings for MGRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,277,584,000 $910,942,000 $597,293,000 $231,727,000 $374,375,000 $-223,690,000 $-70,000
2023 $2,217,283,000 $831,842,000 $682,380,000 $174,583,000 $95,343,000 $296,436,000 $-89,000
2022 $1,707,844,000 $733,823,000 $583,803,000 $115,114,000 $194,432,000 $-63,533,000 $-528,000
2021 $1,595,926,000 $616,833,000 $495,077,000 $89,755,000 $195,743,000 $156,202,000 $249,000
2020 $1,275,744,000 $572,554,000 $440,510,000 $101,950,000 $180,504,000 $-128,451,000 $-948,000
2019 $1,309,875,000 $570,230,000 $441,105,000 $96,785,000 $187,994,000 $-44,016,000 $834,000
2018 $1,217,316,000 $498,330,000 $393,635,000 $79,525,000 $142,667,000 $-39,066,000 $-891,000
2017 $1,147,854,000 $462,034,000 $378,582,000 $153,807,000 $122,389,000 $-49,850,000 $1,649,000