Recent Annual Filings for MHO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,022,440,000 $4,033,502,000 $3,426,225,000 $465,365,000 $552,131,000 $-112,237,000 $421,262,000
2022 $3,714,923,000 $4,131,393,000 $3,496,186,000 $490,662,000 $184,071,000 $-81,517,000 $75,174,000
2021 $3,239,853,000 $3,745,887,000 $3,236,773,000 $396,868,000 $-16,823,000 $44,103,000 $-24,442,000
2020 $2,643,045,000 $3,046,145,000 $2,736,102,000 $239,874,000 $168,334,000 $120,263,000 $254,727,000
2019 $2,105,594,000 $2,500,290,000 $2,334,265,000 $127,587,000 $65,631,000 $-53,483,000 $-15,446,000
2018 $2,021,581,000 $2,286,282,000 $2,144,993,000 $107,663,000 $-2,592,000 $6,375,000 $-130,174,000
2017 $1,864,771,000 $1,961,971,000 $1,841,647,000 $72,081,000 $-52,530,000 $179,603,000 $117,262,000
2016 $1,548,511,000 $1,691,327,000 $1,599,542,000 $56,609,000 $34,197,000 $18,788,000 $21,340,000