Recent Annual Filings for MTRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,762,726,000 $1,665,187,000 $1,557,356,000 $90,663,000 $144,414,000 $-24,850,000 $193,000
2022 $1,691,979,000 $1,757,109,000 $1,654,009,000 $84,250,000 $115,958,000 $-35,558,000 $-1,361,000
2021 $1,607,479,000 $1,510,644,000 $1,433,319,000 $70,944,000 $90,241,000 $393,006,000 $-11,416,000
2020 $1,057,860,000 $1,176,274,000 $1,167,999,000 $22,285,000 $101,057,000 $-7,091,000 $-99,129,000
2019 $852,670,000 $1,185,424,000 $1,123,434,000 $63,432,000 $99,222,000 $-18,054,000 $54,362,000
2018 $800,341,000 $1,207,815,000 $1,191,473,000 $65,549,000 $76,374,000 $-13,605,000 $28,801,000
2017 $791,084,000 $1,139,447,000 $1,103,051,000 $-5,305,000 $67,795,000 $-15,445,000 $10,380,000
2016 $741,298,000 $969,236,000 $943,921,000 $20,264,000 $67,174,000 $-22,112,000 $7,228,000