Recent Annual Filings for LDI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,151,048,000 $974,022,000 $1,252,330,000 $-235,512,000 $-174,215,000 $-226,089,000 $-234,645,000
2022 $6,609,934,000 $1,255,796,000 $1,945,773,000 $-610,385,000 $4,460,746,000 $-4,768,601,000 $359,905,000
2021 $11,812,313,000 $3,724,704,000 $3,058,187,000 $623,146,000 $-1,465,685,000 $1,300,814,000 $131,907,000