Recent Annual Filings for LAZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,793,993,000 $3,139,904,000 $2,665,365,000 $249,855,000 $742,828,000 $-439,669,000 $437,231,000
2023 $4,635,781,000 $2,593,162,000 $2,595,446,000 $-51,402,000 $164,662,000 $-1,571,194,000 $-1,444,855,000
2022 $5,852,561,000 $2,855,093,000 $2,256,723,000 $320,476,000 $833,984,000 $-1,382,035,000 $-604,489,000
2021 $7,147,181,000 $3,273,816,000 $2,469,200,000 $557,066,000 $866,079,000 $195,836,000 $1,022,859,000
2020 $5,971,861,000 $2,646,769,000 $2,063,997,000 $457,974,000 $575,931,000 $-547,351,000 $-34,359,000
2019 $5,639,581,000 $2,666,958,000 $2,194,075,000 $277,886,000 $677,953,000 $-444,050,000 $191,655,000
2018 $4,997,241,000 $2,884,833,000 $2,145,586,000 $491,148,000 $699,038,000 $-726,104,000 $-73,275,000
2017 $4,928,677,000 $2,697,829,000 $1,818,865,000 $341,552,000 $1,015,442,000 $-740,393,000 $325,051,000