Recent Annual Filings for MTDR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,850,109,000 $3,504,981,000 $2,070,283,000 $971,343,000 $2,246,885,000 $1,413,673,000 $-11,556,000
2023 $7,726,996,000 $2,806,785,000 $1,597,463,000 $910,359,000 $1,867,828,000 $902,332,000 $-441,032,000
2022 $5,554,505,000 $3,058,025,000 $1,298,755,000 $1,286,317,000 $1,978,739,000 $-480,852,000 $460,410,000
2021 $4,262,153,000 $1,662,981,000 $869,905,000 $640,636,000 $1,053,355,000 $-328,553,000 $-4,463,000
2020 $3,687,280,000 $862,126,000 $1,383,625,000 $-553,560,000 $477,582,000 $324,339,000 $26,255,000
2019 $4,069,676,000 $983,670,000 $748,190,000 $122,982,000 $552,042,000 $333,078,000 $-18,856,000
2018 $3,455,518,000 $899,599,000 $536,328,000 $299,764,000 $608,523,000 $888,232,000 $-18,498,000
2017 $2,145,690,000 $544,276,000 $383,435,000 $125,867,000 $299,125,000 $408,499,000 $-116,379,000