Recent Annual Filings for MTZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,975,275,000 $12,300,000,000 $12,049,037,000 $196,821,000 $1,121,625,000 $-1,090,234,000 $-129,658,000
2023 $9,373,511,000 $11,995,934,000 $12,078,638,000 $-49,338,000 $687,277,000 $-350,998,000 $158,969,000
2022 $9,293,259,000 $9,778,038,000 $9,734,979,000 $61,709,000 $352,297,000 $480,897,000 $9,856,000
2021 $7,121,393,000 $7,951,781,000 $7,521,706,000 $343,397,000 $793,074,000 $501,942,000 $-62,382,000
2020 $5,227,849,000 $6,320,975,000 $5,895,811,000 $306,961,000 $937,254,000 $-369,887,000 $351,691,000
2019 $4,997,006,000 $7,183,188,000 $6,672,249,000 $378,884,000 $550,278,000 $-244,631,000 $44,005,000
2018 $4,439,953,000 $6,909,417,000 $6,544,114,000 $262,449,000 $529,956,000 $-361,094,000 $-12,904,000
2017 $4,066,576,000 $6,606,978,000 $6,235,152,000 $350,986,000 $156,263,000 $118,155,000 $1,559,000