Recent Annual Filings for LAMR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,586,549,000 $2,207,103,000 $1,675,063,000 $360,413,000 $873,610,000 $-703,425,000 $5,279,000
2023 $6,563,622,000 $2,110,987,000 $1,435,553,000 $497,067,000 $783,613,000 $-481,635,000 $-8,141,000
2022 $6,475,214,000 $2,032,140,000 $1,454,139,000 $437,133,000 $781,612,000 $-209,319,000 $-46,778,000
2021 $6,047,494,000 $1,787,401,000 $1,266,214,000 $388,011,000 $734,417,000 $-294,519,000 $-21,862,000
2020 $5,791,441,000 $1,568,856,000 $1,158,749,000 $243,635,000 $569,873,000 $-377,917,000 $95,068,000
2019 $5,941,155,000 $1,753,644,000 $1,235,903,000 $372,784,000 $630,865,000 $-264,357,000 $4,474,000
2018 $4,544,641,000 $1,627,222,000 $1,166,666,000 $303,942,000 $564,846,000 $-73,563,000 $-92,865,000
2017 $4,214,345,000 $1,541,260,000 $1,085,893,000 $319,602,000 $507,016,000 $-28,641,000 $79,941,000