Recent Annual Filings for MMI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $869,800,000 $696,060,000 $709,088,000 $-13,027,000 $21,714,000 $-28,755,000 $-17,308,000
2023 $878,411,000 $645,927,000 $686,328,000 $-31,186,000 $-72,430,000 $-67,679,000 $-65,120,000
2022 $1,003,708,000 $1,301,710,000 $1,159,681,000 $99,698,000 $13,629,000 $-105,555,000 $-146,267,000
2021 $1,045,198,000 $1,296,440,000 $1,103,137,000 $140,806,000 $255,903,000 $-5,919,000 $138,988,000
2020 $779,122,000 $716,906,000 $657,542,000 $43,434,000 $38,088,000 $-10,330,000 $10,482,000
2019 $709,034,000 $806,428,000 $698,916,000 $78,133,000 $25,287,000 $-3,878,000 $17,987,000
2018 $566,380,000 $814,816,000 $697,596,000 $87,105,000 $117,314,000 $-5,437,000 $-6,103,000
2017 $459,664,000 $719,700,000 $620,474,000 $51,654,000 $66,537,000 $-5,784,000 $33,415,000