Recent Annual Filings for MTRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $451,351,000 $728,213,000 $753,225,000 $-25,742,000 $72,571,000 $-10,372,000 $61,254,000
2023 $400,504,000 $795,020,000 $847,781,000 $-52,955,000 $10,247,000 $-5,058,000 $2,646,000
2022 $440,793,000 $707,780,000 $766,063,000 $-65,326,000 $-54,196,000 $12,699,000 $-5,824,000
2021 $467,556,000 $673,398,000 $716,661,000 $-29,600,000 $-2,971,000 $-12,324,000 $-16,158,000
2020 $517,310,000 $1,100,938,000 $1,137,582,000 $-33,696,000 $44,085,000 $-16,039,000 $10,321,000
2019 $633,394,000 $1,416,680,000 $1,378,268,000 $27,642,000 $41,394,000 $-1,107,000 $25,658,000
2018 $558,033,000 $1,091,553,000 $1,103,701,000 $-11,567,000 $74,671,000 $-45,312,000 $20,252,000
2017 $586,030,000 $1,197,509,000 $1,195,063,000 $-341,000 $-18,746,000 $42,732,000 $-27,851,000