Recent Annual Filings for MX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $379,316,000 $231,737,000 $294,380,000 $-61,544,000 $-6,133,000 $16,557,000 $-19,482,000
2023 $420,491,000 $230,051,000 $277,610,000 $-38,726,000 $-3,014,000 $-52,339,000 $-67,385,000
2022 $516,645,000 $337,658,000 $340,537,000 $-18,359,000 $5,165,000 $-12,744,000 $-54,070,000
2021 $583,654,000 $474,230,000 $400,261,000 $50,775,000 $87,743,000 $-35,544,000 $-393,000
2020 $571,690,000 $507,059,000 $496,228,000 $351,328,000 $7,470,000 $-222,281,000 $128,283,000
2019 $595,328,000 $792,195,000 $809,274,000 $-4,376,000 $50,497,000 $-1,802,000 $19,219,000
2018 $583,196,000 $750,898,000 $750,149,000 $9,104,000 $39,236,000 $1,294,000 $3,863,000
2017 $558,789,000 $679,672,000 $593,581,000 $37,798,000 $-18,444,000 $72,691,000 $45,220,000