Recent Annual Filings for MSEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,255,174,000 $191,877,000 $140,621,000 $44,351,000 $58,730,000 $17,728,000 $1,836,000
2023 $1,236,052,000 $166,131,000 $133,566,000 $31,524,000 $52,782,000 $35,959,000 $-1,438,000
2022 $1,074,450,000 $162,292,000 $116,623,000 $42,428,000 $61,361,000 $27,147,000 $295,000
2021 $1,020,015,000 $142,993,000 $111,938,000 $36,543,000 $33,028,000 $39,479,000 $-6,871,000
2020 $976,470,000 $141,449,000 $107,143,000 $38,425,000 $53,355,000 $16,169,000 $-36,095,000
2019 $909,878,000 $134,458,000 $103,710,000 $33,888,000 $36,053,000 $93,910,000 $40,838,000
2018 $767,830,000 $137,940,000 $104,564,000 $32,452,000 $45,864,000 $25,494,000 $-736,000
2017 $661,140,000 $130,775,000 $96,866,000 $22,809,000 $42,843,000 $9,537,000 $1,058,000