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