Recent Annual Filings for LEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $14,695,500,000 $23,466,900,000 $22,689,700,000 $759,500,000 $1,249,300,000 $-419,500,000 $81,100,000
2022 $13,763,000,000 $20,891,500,000 $20,382,200,000 $366,300,000 $1,021,400,000 $-387,300,000 $-203,900,000
2021 $13,352,400,000 $19,263,100,000 $18,679,600,000 $399,600,000 $670,100,000 $-13,600,000 $6,800,000
2020 $13,198,600,000 $17,045,500,000 $16,746,200,000 $317,100,000 $663,100,000 $-411,700,000 $-195,900,000
2019 $12,680,700,000 $19,810,300,000 $18,856,700,000 $760,300,000 $1,284,300,000 $-361,900,000 $-9,400,000
2018 $11,600,700,000 $21,148,500,000 $19,610,100,000 $1,038,100,000 $1,779,800,000 $-1,030,500,000 $19,400,000
2017 $11,945,900,000 $20,467,000,000 $18,940,300,000 $1,716,900,000 $1,783,100,000 $-742,000,000 $228,800,000
2016 $9,900,600,000 $18,557,600,000 $17,219,300,000 $926,400,000 $1,619,300,000 $-872,900,000 $75,000,000