Recent Annual Filings for MSGE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,552,707,000 $959,265,000 $847,324,000 $146,059,000 $111,266,000 $-99,695,000 $-50,800,000
2023 $1,401,157,000 $851,496,000 $746,488,000 $75,249,000 $135,694,000 $-144,217,000 $21,782,000
2022 $5,522,160,000 $1,724,618,000 $1,940,550,000 $-208,230,000 $141,340,000 $-30,392,000 $-693,966,000
2021 $4,267,341,000 $180,401,000 $620,222,000 $-405,713,000 $-289,480,000 $633,333,000 $267,440,000
2020 $3,719,206,000 $762,936,000 $772,577,000 $-21,015,000 $96,031,000 $122,938,000 $-167,761,000