Recent Annual Filings for LE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $765,481,000 $1,154,442,000 $602,388,000 $5,633,000 $53,143,000 $-26,594,000 $-8,478,000
2024 $811,479,000 $1,472,508,000 $703,042,000 $-129,731,000 $130,565,000 $-110,107,000 $-14,101,000
2023 $1,082,148,000 $1,555,429,000 $569,041,000 $-16,910,000 $-36,367,000 $73,463,000 $5,256,000
2022 $1,036,634,000 $1,636,624,000 $611,674,000 $31,948,000 $70,569,000 $-45,093,000 $341,000
2021 $1,045,508,000 $1,427,448,000 $564,711,000 $12,603,000 $91,633,000 $-103,075,000 $-43,503,000
2020 $1,113,629,000 $1,450,201,000 $576,455,000 $19,485,000 $27,289,000 $-105,913,000 $-116,056,000
2019 $1,110,911,000 $1,451,592,000 $573,457,000 $8,999,000 $48,200,000 $-5,753,000 $-2,584,000
2018 $1,124,135,000 $1,406,677,000 $568,118,000 $32,477,000 $28,437,000 $-7,412,000 $-17,527,000