Recent Annual Filings for LC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,630,509,000 $787,011,000 $721,945,000 $57,391,000 $-2,634,174,000 $1,709,609,000 $-316,752,000
2023 $8,827,463,000 $864,619,000 $810,002,000 $46,251,000 $-1,136,600,000 $789,567,000 $169,664,000
2022 $7,979,747,000 $1,187,216,000 $1,034,179,000 $245,023,000 $375,568,000 $2,795,130,000 $360,898,000
2021 $4,900,319,000 $818,630,000 $24,142,000 $239,869,000 $349,642,000 $135,101,000
2020 $1,863,293,000 $314,702,000 $502,302,000 $-185,489,000 $418,031,000 $-842,439,000 $141,363,000
2019 $2,982,341,000 $758,607,000 $789,507,000 $-31,487,000 $-270,644,000 $-540,060,000 $-156,936,000
2018 $3,819,527,000 $694,812,000 $823,112,000 $-128,139,000 $-638,950,000 $-240,017,000 $-231,000
2017 $4,640,831,000 $574,540,000 $727,740,000 $-153,060,000 $-590,814,000 $-456,882,000 $-113,883,000