Recent Annual Filings for MRTN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $968,757,000 $963,708,000 $927,362,000 $26,922,000 $134,814,000 $-18,622,000 $-35,946,000
2023 $990,339,000 $1,131,455,000 $1,037,539,000 $70,373,000 $164,378,000 $-19,225,000 $-27,387,000
2022 $965,679,000 $1,263,878,000 $1,119,707,000 $110,354,000 $219,489,000 $-60,926,000 $23,605,000
2021 $870,690,000 $973,644,000 $861,912,000 $85,428,000 $171,204,000 $-56,602,000 $-9,132,000
2020 $831,636,000 $874,374,000 $780,988,000 $69,500,000 $189,598,000 $-48,607,000 $34,666,000
2019 $796,586,000 $843,271,000 $765,583,000 $61,071,000 $153,180,000 $-41,253,000 $-25,302,000
2018 $753,904,000 $787,594,000 $716,565,000 $55,027,000 $150,623,000 $-8,381,000 $40,972,000
2017 $690,403,000 $698,120,000 $641,647,000 $90,284,000 $121,879,000 $-11,258,000 $15,303,000