Recent Annual Filings for MPB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,290,792,000 $236,339,000 $191,645,000 $39,976,000 $51,937,000 $392,466,000 $35,882,000
2022 $4,497,954,000 $165,600,000 $98,253,000 $35,432,000 $59,991,000 $-208,151,000 $-852,871,000
2021 $4,689,425,000 $123,322,000 $87,271,000 $29,534,000 $65,899,000 $374,758,000 $610,028,000
2020 $2,998,948,000 $107,935,000 $76,596,000 $25,809,000 $14,069,000 $739,537,000 $164,694,000
2019 $2,231,175,000 $95,312,000 $73,886,000 $20,422,000 $7,831,000 $118,119,000 $98,965,000
2018 $2,077,981,000 $68,654,000 $55,929,000 $10,257,000 $10,983,000 $-16,279,000 $16,551,000
2017 $1,170,354,000 $43,892,000 $32,303,000 $8,209,000 $11,895,000 $129,443,000 $-22,459,000
2016 $1,032,599,000 $40,212,000 $30,131,000 $3,139,000 $22,271,000 $97,217,000 $32,689,000