Recent Annual Filings for MPAA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,012,002,000 $717,684,000 $730,752,000 $-39,786,000 $39,172,000 $-36,439,000 $2,378,000
2023 $1,028,565,000 $683,074,000 $686,183,000 $556,000 $-21,754,000 $14,308,000 $-11,420,000
2022 $1,015,698,000 $650,308,000 $637,159,000 $9,991,000 $-44,862,000 $60,215,000 $7,493,000
2021 $847,882,000 $540,782,000 $509,919,000 $21,148,000 $56,089,000 $-76,567,000 $-34,093,000
2020 $777,029,000 $535,831,000 $544,132,000 $-7,771,000 $18,795,000 $32,153,000 $39,705,000
2019 $632,362,000 $472,797,000 $480,378,000 $-8,562,000 $-40,328,000 $59,936,000 $-3,138,000
2018 $494,497,000 $428,072,000 $393,893,000 $18,329,000 $-13,944,000 $33,142,000 $4,020,000
2017 $436,139,000 $421,253,000 $366,375,000 $34,984,000 $-5,269,000 $-1,849,000 $-12,868,000