Recent Annual Filings for LAD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,127,900,000 $36,188,200,000 $35,109,900,000 $797,900,000 $425,100,000 $907,600,000 $-526,200,000
2023 $19,632,500,000 $31,042,300,000 $29,680,000,000 $1,049,800,000 $-472,400,000 $2,409,800,000 $700,500,000
2022 $15,006,600,000 $28,187,800,000 $26,457,800,000 $1,246,600,000 $-610,100,000 $2,035,900,000 $93,000,000
2021 $11,146,900,000 $22,831,700,000 $21,346,900,000 $1,066,000,000 $1,797,200,000 $1,106,700,000 $16,000,000
2020 $7,902,100,000 $13,124,300,000 $12,475,800,000 $464,700,000 $542,200,000 $1,139,700,000 $76,100,000
2019 $6,083,900,000 $12,672,700,000 $12,297,300,000 $270,800,000 $499,500,000 $-9,100,000 $52,400,000
2018 $5,384,000,000 $11,821,400,000 $11,483,900,000 $265,700,000 $519,700,000 $11,700,000 $-25,700,000
2017 $4,683,066,000 $10,086,510,000 $9,739,441,000 $245,217,000 $148,856,000 $396,313,000 $6,971,000