Recent Annual Filings for LCII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,894,739,000 $3,741,208,000 $3,551,870,000 $131,827,000 $370,284,000 $-208,221,000 $99,599,000
2023 $2,959,319,000 $3,784,808,000 $3,701,804,000 $71,763,000 $527,229,000 $-426,184,000 $18,658,000
2022 $3,246,912,000 $5,207,143,000 $4,681,688,000 $402,179,000 $602,514,000 $-374,871,000 $-15,397,000
2021 $3,288,094,000 $4,472,697,000 $4,090,653,000 $280,149,000 $-111,573,000 $404,563,000 $11,075,000
2020 $2,298,031,000 $2,796,166,000 $2,586,685,000 $164,406,000 $231,400,000 $14,048,000 $16,462,000
2019 $1,862,595,000 $2,371,482,000 $2,180,068,000 $150,237,000 $269,525,000 $254,971,000 $20,431,000
2018 $1,243,893,000 $2,475,807,000 $2,283,455,000 $143,507,000 $156,608,000 $135,066,000 $-11,121,000
2017 $945,858,000 $2,147,770,000 $1,934,926,000 $137,121,000 $155,083,000 $-69,329,000 $-60,121,000