Recent Annual Filings for MMSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,418,603,000 $1,356,514,000 $1,206,521,000 $112,290,000 $220,799,000 $-60,008,000 $-207,862,000
2023 $2,325,244,000 $1,257,366,000 $1,145,277,000 $94,627,000 $145,151,000 $559,266,000 $529,070,000
2022 $1,663,966,000 $1,150,981,000 $1,068,352,000 $70,957,000 $114,291,000 $-60,260,000 $-3,366,000
2021 $1,648,294,000 $1,074,751,000 $1,020,834,000 $45,915,000 $147,231,000 $-98,435,000 $10,834,000
2020 $1,664,396,000 $963,875,000 $977,106,000 $-10,001,000 $165,270,000 $-95,706,000 $12,596,000
2019 $1,757,321,000 $994,852,000 $992,659,000 $1,442,000 $77,813,000 $33,533,000 $-23,039,000
2018 $1,620,012,000 $882,753,000 $833,234,000 $38,450,000 $86,533,000 $328,280,000 $35,023,000
2017 $1,111,811,000 $727,852,000 $691,971,000 $30,939,000 $62,727,000 $96,517,000 $13,165,000