Recent Annual Filings for MSGS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,346,292,000 $1,027,149,000 $921,481,000 $58,828,000 $92,131,000 $-28,785,000 $54,448,000
2023 $1,315,017,000 $887,447,000 $797,526,000 $45,805,000 $152,473,000 $-185,273,000 $-50,559,000
2022 $1,301,966,000 $821,354,000 $747,422,000 $49,721,000 $178,056,000 $-156,142,000 $18,982,000
2021 $1,309,939,000 $415,721,000 $505,039,000 $-15,785,000 $-35,326,000 $17,155,000 $-18,637,000
2020 $1,233,798,000 $603,319,000 $701,367,000 $-212,991,000 $3,568,000 $-520,588,000 $-1,027,228,000