Recent Annual Filings for MNR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,304,515,000 $762,309,000 $403,165,000 $346,558,000 $491,742,000 $658,790,000 $123,375,000
2021 $2,215,883,000 $83,317,000 $84,808,000 $178,110,000 $25,101,000
2020 $1,939,783,000 $141,583,000 $163,726,000 $-26,511,000 $98,829,000 $85,185,000 $3,338,000
2019 $1,871,948,000 $132,524,000 $102,724,000 $29,800,000 $101,622,000 $123,741,000 $10,855,000
2018 $1,718,377,886 $115,864,119 $67,343,585 $24,690,656 $85,529,162 $246,082,577 $-901,461
2017 $1,443,037,755 $113,545,982 $73,274,897 $33,899,383 $73,867,866 $179,679,685 $-85,523,462
2016 $1,229,758,028 $94,916,110 $62,421,603 $50,878,377 $54,699,500 $256,821,188 $83,675,599
2015 $915,991,942 $78,014,122 $57,429,549 $20,042,856 $38,062,285 $148,006,698 $-8,400,752