Recent Annual Filings for MGY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,756,216,000 $1,226,979,000 $677,167,000 $442,604,000 $855,789,000 $-315,209,000 $-274,320,000
2022 $2,572,585,000 $1,694,493,000 $637,606,000 $1,050,249,000 $1,296,687,000 $-469,341,000 $308,459,000
2021 $1,746,742,000 $1,078,351,000 $509,784,000 $559,716,000 $788,477,000 $-370,614,000 $174,421,000
2020 $1,453,420,000 $534,506,000 $2,482,829,000 $-1,868,983,000 $310,121,000 $-30,205,000 $9,928,000
2019 $3,466,406,000 $936,142,000 $836,377,000 $85,005,000 $647,619,000 $-76,496,000 $46,875,000
2018 $3,433,523,000