Recent Annual Filings for MTH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,162,654,000 $786,186,000 $-227,576,000 $1,978,000 $-269,672,000
2023 $6,353,134,000 $738,748,000 $355,572,000 $-252,283,000 $59,666,000
2022 $5,772,101,000 $992,192,000 $405,270,000 $-129,758,000 $243,226,000
2021 $4,807,533,000 $737,444,000 $-152,092,000 $51,627,000 $-127,286,000
2020 $3,864,398,000 $423,475,000 $530,360,000 $-85,971,000 $426,155,000
2019 $3,398,249,000 $249,663,000 $346,820,000 $-325,331,000 $8,000,000
2018 $3,365,479,000 $227,332,000 $262,200,000 $-87,953,000 $140,720,000
2017 $3,251,258,000 $3,226,772,000 $2,979,253,000 $143,255,000 $-87,132,000 $143,248,000 $39,044,000