Recent Annual Filings for LANDO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,387,324,000 $90,398,000 $75,833,000 $12,924,000 $40,081,000 $-78,883,000 $-42,570,000
2022 $1,457,251,000 $89,236,000 $84,520,000 $14,751,000 $43,788,000 $86,129,000 $44,433,000
2021 $1,351,550,000 $75,318,000 $71,804,000 $3,959,000 $32,377,000 $270,114,000 $7,490,000
2020 $1,067,289,000 $57,031,000 $52,076,000 $3,816,000 $25,002,000 $243,429,000 $-4,470,000