Recent Annual Filings for MUR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,667,479,000 $3,028,474,000 $2,425,881,000 $379,530,000 $1,728,990,000 $-716,541,000 $104,285,000
2023 $9,766,697,000 $3,460,147,000 $2,418,118,000 $737,250,000 $1,748,755,000 $-923,718,000 $-173,643,000
2022 $10,308,952,000 $3,932,662,000 $2,345,952,000 $1,131,744,000 $2,165,744,000 $-1,081,621,000 $-25,348,000
2021 $10,304,940,000 $2,299,281,000 $2,017,846,000 $121,150,000 $1,422,163,000 $-794,513,000 $209,940,000
2020 $10,620,852,000 $1,967,341,000 $3,329,650,000 $-1,289,617,000 $802,708,000 $39,711,000 $-16,601,000
2019 $11,718,504,000 $2,829,053,000 $2,383,760,000 $1,288,928,000 $1,489,105,000 $-1,129,994,000 $-2,177,093,000
2017 $9,860,942,000 $2,225,129,000 $1,903,556,000 $-145,820,000 $1,140,580,000 $-217,722,000 $92,191,000
2016 $10,295,860,000 $1,874,129,000 $2,367,244,000 $-199,640,000 $600,795,000 $-290,881,000 $589,614,000