Recent Annual Filings for LAUR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,862,060,000 $1,566,642,000 $1,152,158,000 $106,333,000 $232,733,000 $-166,938,000 $700,000
2023 $2,125,616,000 $1,484,288,000 $1,229,827,000 $277,550,000 $250,780,000 $-201,888,000 $3,615,000
2022 $1,972,237,000 $1,242,271,000 $996,420,000 $146,771,000 $178,230,000 $-461,569,000 $-251,791,000
2021 $2,211,310,000 $1,086,701,000 $1,224,208,000 $625,555,000 $-156,082,000 $-2,683,235,000 $-809,849,000
2020 $4,970,894,000 $1,024,917,000 $1,475,756,000 $-486,075,000 $259,556,000 $-272,716,000 $573,694,000
2019 $6,515,628,000 $3,250,326,000 $3,155,928,000 $976,245,000 $339,769,000 $-1,673,977,000 $-224,786,000
2018 $6,769,636,000 $3,350,224,000 $3,221,792,000 $184,283,000 $396,858,000 $-410,129,000 $88,737,000
2017 $7,391,723,000 $4,377,989,000 $4,351,190,000 $223,698,000 $81,529,000 $222,795,000 $3,768,000