Recent Annual Filings for MTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,547,235,000 $1,207,731,000 $239,022,000 $791,113,000 $725,032,000 $-719,044,000 $-136,017,000
2023 $6,538,380,000 $1,155,102,000 $252,873,000 $878,179,000 $712,962,000 $-496,041,000 $37,731,000
2022 $6,213,793,000 $1,172,785,000 $82,751,000 $264,141,000 $650,012,000 $-1,032,542,000 $27,955,000
2021 $7,325,008,000 $1,185,675,000 $383,898,000 $537,859,000 $696,317,000 $-527,290,000 $8,278,000
2020 $7,354,526,000 $1,199,146,000 $639,883,000 $590,206,000 $732,309,000 $167,821,000 $127,624,000
2019 $6,229,571,000 $1,213,977,000 $366,000,000 $870,685,000 $609,532,000 $-173,406,000 $14,018,000
2018 $5,677,802,000 $1,123,848,000 $279,698,000 $589,684,000 $544,517,000 $-171,550,000 $55,187,000
2017 $5,619,499,000 $1,066,054,000 $281,558,000 $397,500,000 $406,657,000 $-158,575,000 $-55,559,000