Recent Annual Filings for MLI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,290,906,000 $3,768,766,000 $2,948,304,000 $581,793,000 $645,908,000 $-160,478,000 $-135,328,000
2023 $2,759,301,000 $3,420,345,000 $2,575,113,000 $627,384,000 $672,766,000 $-104,509,000 $708,927,000
2022 $2,242,399,000 $3,982,455,000 $3,106,424,000 $648,545,000 $723,943,000 $-102,655,000 $374,920,000
2021 $1,728,936,000 $3,769,345,000 $3,128,206,000 $474,894,000 $311,701,000 $-376,722,000 $-37,000,000
2020 $1,528,568,000 $2,398,043,000 $2,188,854,000 $159,027,000 $245,073,000 $-92,264,000 $29,334,000
2019 $1,370,940,000 $2,430,616,000 $2,264,533,000 $116,604,000 $200,544,000 $-139,694,000 $20,904,000
2018 $1,369,549,000 $2,507,878,000 $2,357,461,000 $76,746,000 $167,892,000 $-28,269,000 $-49,425,000
2017 $1,320,173,000 $2,266,073,000 $2,139,101,000 $104,283,000 $43,995,000 $-244,566,000 $-231,048,000