Recent Annual Filings for LEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $41,312,781,000 $35,441,452,000 $30,256,544,000 $3,970,305,000 $2,403,379,000 $-3,681,550,000 $-1,580,728,000
2023 $39,234,303,000 $34,233,366,000 $29,031,062,000 $3,963,762,000 $5,179,738,000 $-3,247,589,000 $1,755,168,000
2022 $37,984,295,000 $4,652,250,000 $3,265,668,000 $-1,277,279,000 $1,860,087,000
2021 $33,207,778,000 $27,130,676,000 $22,052,243,000 $4,456,013,000 $2,532,774,000 $-2,404,735,000 $22,953,000
2020 $29,935,177,000 $22,488,854,000 $19,373,164,000 $2,466,250,000 $4,190,819,000 $-2,446,575,000 $1,464,039,000
2019 $29,359,511,000 $22,259,561,000 $19,798,380,000 $1,842,983,000 $1,482,343,000 $-1,629,224,000 $-127,285,000
2018 $28,566,181,000 $20,571,631,000 $18,734,360,000 $1,716,113,000 $1,711,609,000 $-2,195,901,000 $-1,092,414,000
2017 $18,745,034,000 $12,646,365,000 $11,307,370,000 $773,097,000 $996,864,000 $1,194,296,000 $1,321,343,000