Recent Annual Filings for LFMD
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$72,460,026 |
$212,453,838 |
$230,780,336 |
$-18,728,498 |
$17,513,190 |
$-4,118,673 |
$1,858,199 |
2023 |
$58,480,709 |
$152,547,006 |
$169,958,063 |
$-17,839,057 |
$8,820,232 |
$29,100,820 |
$29,187,768 |
2022 |
$25,665,853 |
$119,033,520 |
$163,693,847 |
$-45,021,027 |
$-22,935,149 |
$-528,200 |
$-37,369,082 |
2021 |
$49,923,243 |
$92,875,806 |
$154,192,162 |
$-61,324,056 |
$-33,085,489 |
$68,636,742 |
$32,148,964 |