Recent Annual Filings for MGYR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $951,918,000 $48,571,000 $11,823,000 $8,656,000 $6,318,000 $37,037,000 $-46,936,000
2023 $907,292,000 $38,068,000 $11,134,000 $8,034,000 $8,484,000 $99,165,000 $41,596,000
2022 $798,543,000 $29,503,000 $18,334,000 $6,752,000 $11,201,000 $14,277,000 $-44,265,000
2021 $773,990,000 $28,528,000 $19,803,000 $6,530,000 $9,259,000 $12,413,000 $13,475,000
2020 $753,997,000 $26,927,000 $23,816,000 $2,163,000 $814,000 $119,400,000 $40,257,000
2019 $630,328,000 $27,103,000 $22,842,000 $3,140,000 $5,789,000 $717,000 $6,101,000
2018 $623,968,000 $24,350,000 $20,849,000 $1,748,000 $4,622,000 $18,903,000 $-6,966,000
2017 $603,044,000 $21,978,000 $19,561,000 $1,578,000 $3,601,000 $18,685,000 $528,000