Recent Annual Filings for LEG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,661,600,000 $4,383,600,000 $4,892,800,000 $-583,500,000 $305,700,000 $-270,000,000 $-15,300,000
2023 $4,634,500,000 $4,725,300,000 $4,898,700,000 $-87,000,000 $497,200,000 $-358,800,000 $49,000,000
2022 $5,186,100,000 $5,203,900,000 $4,800,300,000 $254,700,000 $441,400,000 $-286,200,000 $-45,200,000
2021 $5,307,300,000 $5,133,700,000 $4,611,600,000 $416,600,000 $271,300,000 $-32,800,000 $12,800,000
2020 $4,754,000,000 $4,329,000,000 $4,008,100,000 $272,000,000 $602,600,000 $-461,700,000 $101,300,000
2019 $4,816,400,000 $5,078,000,000 $4,647,900,000 $334,700,000 $668,000,000 $731,100,000 $-20,500,000
2018 $3,382,000,000 $4,598,100,000 $4,213,700,000 $238,000,000 $440,300,000 $-396,900,000 $-258,000,000
2017 $3,550,800,000 $4,240,200,000 $3,808,200,000 $396,800,000 $443,700,000 $-64,500,000 $244,200,000