Recent Annual Filings for LESL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,034,435,000 $1,451,209,000 $1,414,468,000 $27,242,000 $6,470,000 $-10,804,000 $-56,873,000
2022 $1,109,631,000 $1,562,120,000 $1,354,003,000 $159,029,000 $66,644,000 $-158,868,000 $-231,205,000
2021 $1,043,791,000 $1,342,917,000 $1,179,788,000 $126,634,000 $169,560,000 $53,780,000 $187,985,000