Recent Annual Filings for MPW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $18,304,844,000 $871,799,000 $1,201,686,000 $-454,407,000 $505,786,000 $-1,020,327,000 $14,414,000
2022 $19,658,000,000 $1,542,851,000 $898,204,000 $881,362,000 $739,010,000 $-1,342,523,000 $-220,344,000
2021 $20,519,801,000 $1,544,669,000 $873,378,000 $671,537,000 $811,656,000 $2,947,608,000 $-94,487,000
2020 $16,829,014,000 $1,249,238,000 $749,526,000 $443,853,000 $617,636,000 $1,401,074,000 $-911,622,000
2019 $14,467,331,000 $854,197,000 $510,546,000 $371,698,000 $494,117,000 $5,041,884,000 $645,566,000
2018 $8,843,643,000 $784,522,000 $446,597,000 $986,324,000 $449,088,000 $-345,870,000 $650,178,000
2017 $9,020,288,000 $704,745,000 $219,161,000 $358,092,000 $363,101,000 $2,070,277,000 $71,312,000
2016 $6,418,536,000 $541,137,000 $199,499,000 $205,918,000 $264,683,000 $552,563,000 $-109,298,000