Recent Annual Filings for MORN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,403,400,000 $2,038,600,000 $1,808,000,000 $153,600,000 $316,400,000 $-278,400,000 $-38,700,000
2022 $3,474,800,000 $1,870,600,000 $1,702,800,000 $6,800,000 $297,800,000 $415,100,000 $-107,200,000
2021 $2,862,700,000 $1,699,300,000 $1,442,300,000 $180,000,000 $449,900,000 $211,800,000 $484,900,000
2020 $2,696,000,000 $1,389,500,000 $1,174,300,000 $262,200,000 $384,300,000 $182,200,000 $452,800,000
2019 $2,370,900,000 $1,179,000,000 $989,400,000 $166,400,000 $334,400,000 $373,700,000 $-35,200,000
2018 $1,453,800,000 $1,019,900,000 $804,100,000 $154,600,000 $314,800,000 $-188,800,000 $61,100,000
2017 $1,405,700,000 $911,700,000 $741,900,000 $171,800,000 $250,100,000 $-157,500,000 $49,100,000
2016 $1,350,900,000 $798,600,000 $617,800,000 $134,100,000 $213,700,000 $123,700,000 $52,000,000