Recent Annual Filings for LANC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,206,931,000 $1,871,759,000 $1,666,244,000 $159,338,000 $251,553,000 $-109,150,000 $74,970,000
2023 $1,112,994,000 $1,822,527,000 $1,679,230,000 $113,093,000 $225,901,000 $-106,929,000 $28,190,000
2022 $1,090,374,000 $1,676,390,000 $1,564,002,000 $86,667,000 $101,813,000 $-97,345,000 $-127,772,000
2021 $1,101,285,000 $1,467,067,000 $1,281,322,000 $146,149,000 $174,189,000 $-95,430,000 $-10,218,000
2020 $993,353,000 $1,334,388,000 $1,155,311,000 $135,221,000 $170,769,000 $-85,519,000 $1,985,000
2019 $905,399,000 $1,307,787,000 $1,112,245,000 $148,500,000 $197,598,000 $-80,201,000 $-9,464,000
2018 $804,491,000 $1,222,925,000 $1,048,722,000 $137,880,000 $160,714,000 $-66,614,000 $62,648,000
2017 $716,405,000 $1,201,842,000 $1,026,326,000 $117,728,000 $144,355,000 $-58,723,000 $25,024,000