Recent Annual Filings for MYRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,574,059,000 $3,362,290,000 $3,315,797,000 $21,492,000 $87,115,000 $-39,957,000 $-21,435,000
2023 $1,578,746,000 $3,643,905,000 $3,518,901,000 $93,410,000 $71,016,000 $-18,368,000 $-26,141,000
2022 $1,398,858,000 $3,008,542,000 $2,894,338,000 $76,908,000 $167,484,000 $-9,272,000 $-31,052,000
2021 $1,121,092,000 $2,498,289,000 $2,381,983,000 $85,156,000 $137,228,000 $-28,095,000 $59,424,000
2020 $995,859,000 $2,247,392,000 $2,166,007,000 $59,228,000 $175,167,000 $-124,296,000 $10,271,000
2019 $1,007,871,000 $2,071,159,000 $2,020,717,000 $35,961,000 $64,899,000 $73,356,000 $4,890,000
2017 $603,788,000 $1,403,317,000 $1,378,677,000 $21,288,000 $-9,198,000 $16,889,000 $-18,503,000
2016 $573,495,000 $1,142,487,000 $1,104,142,000 $20,882,000 $54,490,000 $-35,539,000 $-15,951,000