Recent Annual Filings for LASR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $306,803,000 $209,921,000 $252,569,000 $-41,399,000 $10,091,000 $-859,000 $-4,612,000
2022 $329,233,000 $242,058,000 $296,293,000 $-56,740,000 $-14,542,000 $-1,306,000 $-88,706,000
2021 $373,618,000 $270,146,000 $300,190,000 $-29,997,000 $-7,443,000 $73,742,000 $44,211,000
2020 $283,644,000 $222,789,000 $243,381,000 $-18,506,000 $13,041,000 $-3,767,000 $-14,720,000
2019 $249,966,000 $176,619,000 $183,384,000 $-13,412,000 $-4,241,000 $2,452,000 $-32,226,000
2018 $250,130,000 $191,359,000 $173,821,000 $12,500,000 $3,335,000 $121,301,000 $112,791,000