Recent Annual Filings for MIDD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,283,151,000 $3,875,162,000 $3,297,842,000 $382,241,000 $686,816,000 $-73,768,000 $454,513,000
2023 $6,906,692,000 $4,036,605,000 $3,517,227,000 $456,156,000 $628,790,000 $-390,939,000 $82,109,000
2022 $6,874,866,000 $4,032,853,000 $3,468,438,000 $517,181,000 $332,552,000 $7,631,000 $-8,136,000
2020 $5,202,474,000 $2,513,257,000 $2,245,200,000 $69,799,000 $524,785,000 $-252,468,000 $173,603,000
2019 $5,002,143,000 $2,959,446,000 $2,496,827,000 $277,783,000 $377,425,000 $-25,445,000 $22,799,000
2018 $4,549,781,000 $2,722,931,000 $2,299,418,000 $307,095,000 $368,914,000 $856,129,000 $-17,953,000
2017 $3,339,713,000 $2,335,542,000 $1,952,013,000 $316,032,000 $304,455,000 $55,836,000 $21,169,000
2016 $2,917,136,000 $2,267,852,000 $1,846,547,000 $76,305,000 $294,110,000 $-41,370,000 $12,957,000