Recent Annual Filings for MUX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $664,623,000 $174,477,000 $81,507,000 $-43,691,000 $29,454,000 $19,202,000 $-9,390,000
2023 $657,239,000 $166,231,000 $179,843,000 $33,177,000 $-39,637,000 $172,182,000 $32,908,000
2022 $528,719,000 $110,417,000 $94,893,000 $-86,094,000 $-58,609,000 $65,455,000 $-17,055,000
2021 $525,341,000 $136,541,000 $57,800,000 $-56,884,000 $-20,223,000 $80,983,000 $36,196,000
2020 $499,936,000 $104,789,000 $126,226,000 $-152,325,000 $-27,873,000 $17,578,000 $-22,062,000
2019 $631,223,000 $117,019,000 $72,900,000 $-59,747,000 $-39,527,000 $70,007,000 $16,011,000
2018 $616,941,000 $128,822,000 $82,035,000 $-44,870,000 $487,000 $60,440,000 $-6,664,000
2017 $592,129,000 $67,724,000 $93,751,000 $-9,300,000 $-15,434,000 $49,727,000 $-287,000