Recent Annual Filings for MMS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,985,797,000 $4,904,728,000 $4,694,435,000 $168,138,000 $314,340,000 $-250,798,000 $-14,704,000
2022 $3,992,714,000 $4,631,018,000 $4,353,920,000 $209,775,000 $289,839,000 $-248,271,000 $-19,775,000
2021 $4,118,965,000 $4,254,485,000 $3,870,804,000 $293,930,000 $517,322,000 $1,385,693,000 $68,009,000
2020 $2,024,702,000 $3,461,537,000 $3,174,475,000 $217,251,000 $244,592,000 $-230,090,000 $-27,931,000
2019 $1,745,732,000 $2,886,815,000 $2,569,495,000 $232,068,000 $356,727,000 $-110,859,000 $-240,067,000
2018 $1,462,000,000 $2,392,236,000 $2,093,027,000 $211,482,000 $323,525,000 $-91,880,000 $182,993,000
2017 $1,350,662,000 $2,450,961,000 $2,136,726,000 $220,732,000 $337,200,000 $-215,429,000 $100,053,000
2016 $1,348,819,000 $2,403,360,000 $2,117,392,000 $166,356,000 $180,026,000 $-96,842,000 $-8,473,000