Recent Annual Filings for MP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,333,558,000 $203,855,000 $373,281,000 $-65,396,000 $13,349,000 $-4,791,000 $18,615,000
2023 $2,336,452,000 $253,445,000 $271,164,000 $24,263,000 $62,699,000 $-9,917,000 $121,479,000
2022 $2,237,787,000 $527,510,000 $200,099,000 $289,193,000 $343,514,000 $-24,191,000 $-1,037,648,000
2021 $1,889,666,000 $331,952,000 $166,607,000 $135,037,000 $101,971,000 $666,109,000 $648,717,000
2020 $1,074,288,000 $134,310,000 $169,013,000 $-21,825,000 $3,277,000 $521,961,000 $502,868,000