Recent Annual Filings for LECO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,520,142,000 $4,008,670,000 $3,414,521,000 $395,820,000 $598,977,000 $-244,640,000 $-6,894,000
2023 $3,377,297,000 $4,191,636,000 $3,504,770,000 $590,799,000 $667,542,000 $-412,392,000 $180,421,000
2022 $3,180,546,000 $3,761,211,000 $3,168,384,000 $454,405,000 $383,386,000 $133,725,000 $4,192,000
2021 $2,592,307,000 $3,234,180,000 $2,909,182,000 $320,981,000 $365,063,000 $-221,940,000 $-64,321,000
2020 $2,314,453,000 $2,655,400,000 $2,391,360,000 $179,849,000 $351,362,000 $-246,141,000 $57,716,000
2019 $2,371,213,000 $3,003,272,000 $2,634,779,000 $311,253,000 $403,185,000 $-371,944,000 $-159,286,000
2018 $2,349,825,000 $3,028,674,000 $2,660,014,000 $240,347,000 $329,152,000 $-302,130,000 $32,148,000
2017 $2,406,547,000 $2,624,431,000 $2,258,195,000 $329,441,000 $334,845,000 $-135,037,000 $-52,478,000