Recent Annual Filings for LEGH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $534,194,000 $184,191,000 $120,581,000 $61,642,000 $35,993,000 $-28,878,000 $401,000
2023 $506,742,000 $189,144,000 $124,557,000 $54,460,000 $-13,536,000 $21,235,000 $-2,070,000
2022 $436,813,000 $257,015,000 $174,867,000 $67,773,000 $-1,691,000 $-5,614,000 $1,776,000
2021 $366,667,000 $197,507,000 $136,880,000 $49,871,000 $60,296,000 $-28,080,000 $274,000
2020 $338,616,000 $176,724,000 $127,902,000 $37,995,000 $-2,037,000 $3,799,000 $-956,000
2019 $283,620,000 $168,956,000 $131,366,000 $28,844,000 $-4,193,000 $18,431,000 $-875,000