Recent Annual Filings for MKTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,789,216,000 $817,097,000 $456,551,000 $263,852,000 $385,237,000 $-201,377,000 $96,925,000
2023 $2,015,067,000 $752,547,000 $419,847,000 $271,382,000 $333,767,000 $-147,057,000 $31,420,000
2022 $1,607,775,000 $718,300,000 $380,012,000 $225,857,000 $289,231,000 $-242,378,000 $-39,419,000
2021 $1,530,452,000 $698,951,000 $365,028,000 $249,208,000 $282,091,000 $-189,775,000 $24,622,000
2020 $1,331,429,000 $689,125,000 $314,766,000 $304,997,000 $404,489,000 $-145,112,000 $328,244,000
2019 $954,930,000 $511,352,000 $253,928,000 $207,026,000 $265,935,000 $-118,100,000 $25,784,000
2018 $695,539,000 $435,565,000 $217,479,000 $170,684,000 $223,917,000 $-92,673,000 $80,948,000
2017 $581,232,000 $397,471,000 $195,703,000 $150,091,000 $168,035,000 $-117,068,000 $-1,229,000