Recent Annual Filings for MUSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,541,600,000 $20,244,300,000 $19,496,900,000 $502,500,000 $847,600,000 $-472,600,000 $-70,800,000
2023 $4,340,100,000 $21,529,400,000 $20,702,600,000 $557,300,000 $784,000,000 $-403,100,000 $57,300,000
2022 $4,123,200,000 $23,446,100,000 $22,479,800,000 $673,600,000 $994,700,000 $-871,300,000 $-195,900,000
2021 $4,048,200,000 $17,360,500,000 $16,758,000,000 $397,600,000 $737,400,000 $269,600,000 $92,800,000
2020 $2,685,700,000 $11,264,300,000 $10,706,600,000 $383,500,000 $563,700,000 $-456,100,000 $-116,700,000
2019 $2,687,200,000 $14,034,600,000 $13,766,300,000 $155,500,000 $313,300,000 $-14,400,000 $95,800,000
2018 $2,360,800,000 $14,362,900,000 $14,087,100,000 $213,600,000 $398,700,000 $-175,100,000 $14,500,000
2017 $2,331,039,000 $12,826,553,000 $12,539,410,000 $245,264,000 $283,625,000 $-5,303,000 $16,215,000