Recent Annual Filings for MODV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,654,332,000 $2,787,586,000 $2,986,223,000 $-201,278,000 $-6,408,000 $144,372,000 $110,334,000
2023 $1,767,275,000 $2,751,170,000 $2,960,236,000 $-204,460,000 $-82,971,000 $113,066,000 $-12,193,000
2022 $1,944,272,000 $2,504,393,000 $2,509,270,000 $-31,806,000 $-10,442,000 $3,808,000 $-118,447,000
2021 $2,027,425,000 $1,996,892,000 $1,912,562,000 $-6,585,000 $186,840,000 $448,851,000 $-49,934,000