Recent Annual Filings for MSM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,462,313,000 $3,820,951,000 $3,478,202,000 $251,242,000 $410,696,000 $-307,352,000 $-20,052,000
2023 $2,544,134,000 $4,009,282,000 $3,553,126,000 $350,198,000 $699,582,000 $-580,400,000 $6,507,000
2022 $2,729,414,000 $3,691,893,000 $3,240,761,000 $335,497,000 $246,183,000 $-148,140,000 $3,550,000
2021 $2,462,115,000 $3,243,224,000 $2,954,845,000 $221,789,000 $224,462,000 $-233,747,000 $-84,675,000
2020 $2,382,430,000 $3,192,399,000 $2,858,149,000 $252,774,000 $396,739,000 $-254,618,000 $92,925,000
2019 $2,311,237,000 $3,363,817,000 $2,980,688,000 $285,393,000 $328,426,000 $-305,629,000 $-13,931,000
2018 $2,288,727,000 $3,203,878,000 $2,797,689,000 $326,852,000 $339,658,000 $-177,586,000 $30,134,000
2017 $2,098,912,000 $2,887,744,000 $2,519,752,000 $233,266,000 $246,841,000 $-194,746,000 $-36,807,000