Recent Annual Filings for LARK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,574,142,000 $73,899,000 $59,810,000 $13,731,000 $14,236,000 $-2,957,000 $-6,826,000
2023 $1,561,672,000 $64,683,000 $50,493,000 $20,746,000 $12,604,000 $41,952,000 $3,945,000
2022 $1,502,867,000 $43,226,000 $31,916,000 $-19,068,000 $24,780,000 $6,322,000 $-166,057,000
2021 $1,328,968,000 $39,826,000 $17,001,000 $12,444,000 $31,159,000 $129,690,000 $104,395,000
2020 $1,188,027,000 $39,253,000 $14,973,000 $23,701,000 $14,814,000 $160,862,000 $71,124,000
2019 $998,465,000 $37,111,000 $24,996,000 $19,892,000 $9,283,000 $-6,770,000 $-5,420,000
2018 $985,784,000 $33,153,000 $21,559,000 $6,847,000 $21,383,000 $45,436,000 $2,530,000
2017 $929,454,000 $29,700,000 $26,228,000 $5,379,000 $3,056,000 $14,684,000 $-3,412,000