Recent Annual Filings for LADR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,845,073,000 $358,625,000 $160,477,000 $116,434,000 $133,921,000 $-796,586,000 $270,096,000
2023 $5,512,677,000 $407,284,000 $159,469,000 $107,657,000 $180,604,000 $-557,766,000 $416,341,000
2022 $5,951,173,000 $293,520,000 $175,065,000 $148,408,000 $106,710,000 $-150,244,000 $38,056,000
2021 $5,851,252,000 $176,099,000 $125,791,000 $63,244,000 $79,739,000 $-91,017,000 $-662,738,000
2020 $5,881,229,000 $239,849,000 $153,302,000 $-24,616,000 $111,943,000 $-725,670,000 $928,538,000
2019 $6,669,152,000 $330,235,000 $158,287,000 $146,931,000 $183,207,000 $200,676,000 $257,296,000
2018 $6,272,872,000 $344,816,000 $158,626,000 $216,535,000 $200,433,000 $58,199,000 $-84,233,000
2017 $6,025,615,000 $263,667,000 $170,428,000 $123,659,000 $11,985,000 $387,905,000 $93,255,000