Recent Annual Filings for MOG.A

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,808,036,000 $3,319,122,000 $3,103,070,000 $227,431,000 $135,935,000 $-23,015,000 $-48,184,000
2022 $3,431,841,000 $3,035,783,000 $2,832,804,000 $91,695,000 $246,802,000 $-134,908,000 $18,319,000
2021 $3,433,169,000 $2,851,993,000 $2,648,219,000 $195,113,000 $293,226,000 $-86,995,000 $15,842,000
2020 $3,225,831,000 $2,884,554,000 $2,879,137,000 $139,229,000 $279,177,000 $-142,766,000 $-7,476,000
2019 $3,114,237,000 $2,904,663,000 $2,670,905,000 $131,863,000 $181,423,000 $-98,681,000 $-35,158,000
2018 $2,964,048,000 $2,709,468,000 $2,525,631,000 $59,908,000 $102,407,000 $-221,569,000 $-259,263,000
2016 $3,041,859,000 $2,411,937,000 $2,239,077,000 $30,307,000 $215,854,000 $-119,860,000 $15,275,000
2015 $3,086,471,000 $2,525,532,000 $2,341,698,000 $-3,014,000 $334,546,000 $-165,999,000 $78,561,000