Recent Annual Filings for LAZR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $365,213,000 $75,395,000 $349,278,000 $-273,437,000 $-276,630,000 $178,265,000 $-55,902,000
2023 $512,367,000 $69,779,000 $639,352,000 $-567,041,000 $-247,304,000 $80,197,000 $69,519,000
2022 $687,327,000 $40,698,000 $485,965,000 $-449,257,000 $-208,232,000 $-79,351,000 $-259,597,000
2021 $883,536,000 $31,944,000 $271,192,000 $-238,928,000 $-148,421,000 $463,592,000 $120,983,000
2020 $510,351,000 $13,951,000 $376,249,000 $-362,263,000 $-75,642,000 $529,850,000 $182,414,000