Recent Annual Filings for LBTYK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,439,700,000 $4,341,900,000 $4,402,000,000 $-903,700,000 $2,032,900,000 $-2,250,100,000 $403,500,000
2023 $42,087,900,000 $7,491,400,000 $7,735,900,000 $-2,217,700,000 $2,165,900,000 $-692,400,000 $-309,500,000
2022 $42,895,000,000 $7,195,700,000 $7,048,900,000 $-1,390,300,000 $2,837,800,000 $-3,276,000,000 $815,100,000
2021 $46,917,000,000 $10,311,300,000 $8,991,000,000 $13,810,400,000 $3,549,000,000 $-1,545,900,000 $-3,806,600,000
2020 $59,092,700,000 $11,980,100,000 $9,862,400,000 $1,114,300,000 $4,185,800,000 $1,083,600,000 $-3,322,600,000
2019 $49,046,300,000 $11,541,500,000 $10,796,000,000 $12,120,300,000 $4,585,400,000 $-7,176,600,000 $6,684,200,000
2018 $53,153,600,000 $11,957,900,000 $11,118,800,000 $-174,000,000 $5,963,100,000 $-6,189,800,000 $-227,700,000
2017 $57,596,800,000 $15,048,900,000 $13,101,400,000 $-775,800,000 $5,708,500,000 $-4,680,500,000 $573,100,000