Recent Annual Filings for MYE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $860,815,000 $836,281,000 $822,738,000 $1,906,000 $79,292,000 $295,095,000 $1,932,000
2023 $541,631,000 $813,067,000 $747,011,000 $49,845,000 $86,172,000 $-56,516,000 $7,151,000
2022 $542,634,000 $899,547,000 $821,337,000 $57,875,000 $72,621,000 $-16,317,000 $5,484,000
2021 $484,549,000 $761,435,000 $716,342,000 $33,910,000 $44,914,000 $-5,188,000 $-10,646,000
2020 $400,015,000 $510,369,000 $461,507,000 $37,345,000 $46,507,000 $-18,316,000 $-47,226,000
2019 $353,139,000 $515,698,000 $482,515,000 $26,264,000 $54,323,000 $-16,988,000 $16,633,000
2018 $348,645,000 $566,735,000 $565,346,000 $-7,088,000 $61,252,000 $-10,758,000 $47,715,000
2017 $355,942,000 $547,043,000 $531,335,000 $9,744,000 $44,439,000 $-53,736,000 $-5,368,000