Recent Annual Filings for MOV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $729,231,000 $653,378,000 $626,727,000 $6,855,000 $-1,504,000 $-35,402,000 $-50,648,000
2024 $769,082,000 $672,601,000 $612,399,000 $58,581,000 $76,778,000 $-57,596,000 $7,708,000
2023 $787,705,000 $751,898,000 $629,993,000 $93,023,000 $54,341,000 $-65,314,000 $-21,523,000
2022 $761,160,000 $732,393,000 $615,060,000 $85,314,000 $130,814,000 $-66,614,000 $56,286,000
2021 $719,257,000 $506,397,000 $648,779,000 $-103,704,000 $68,410,000 $-34,383,000 $32,162,000
2020 $847,308,000 $700,966,000 $643,463,000 $46,922,000 $32,070,000 $-23,865,000 $-5,162,000
2019 $759,701,000 $679,567,000 $617,834,000 $41,735,000 $86,170,000 $3,688,000 $-19,151,000
2018 $645,380,000 $567,953,000 $525,811,000 $8,338,000 $54,724,000 $-20,886,000 $-41,468,000