Recent Annual Filings for MLM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,170,000,000 $6,536,000,000 $3,940,000,000 $2,032,000,000 $1,459,000,000 $373,000,000 $-612,000,000
2023 $15,124,900,000 $6,777,200,000 $5,284,400,000 $1,158,700,000 $1,528,400,000 $-1,063,600,000 $923,500,000
2022 $14,993,600,000 $6,160,700,000 $5,069,600,000 $925,900,000 $991,200,000 $-407,500,000 $99,900,000
2021 $14,393,000,000 $5,414,000,000 $4,558,500,000 $763,600,000 $1,137,700,000 $2,291,400,000 $-45,500,000
2020 $10,580,800,000 $4,729,900,000 $3,840,600,000 $708,500,000 $1,050,100,000 $-357,000,000 $283,400,000
2019 $10,131,600,000 $4,739,100,000 $3,990,800,000 $609,800,000 $966,100,000 $-604,100,000 $-23,900,000
2018 $9,551,419,000 $4,244,265,000 $3,668,184,000 $455,914,000 $705,148,000 $-158,414,000 $-1,401,472,000
2017 $8,992,511,000 $3,965,594,000 $3,346,666,000 $714,978,000 $657,878,000 $1,124,927,000 $1,396,326,000