Recent Annual Filings for LFST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,118,298,000 $1,250,970,000 $1,308,583,000 $-58,817,000 $107,260,000 $-9,947,000 $75,747,000
2023 $2,109,969,000 $1,055,665,000 $1,262,248,000 $-187,233,000 $-16,884,000 $47,427,000 $-29,797,000
2022 $2,173,871,000 $859,542,000 $1,092,272,000 $-212,290,000 $52,789,000 $47,264,000 $-39,408,000
2021 $1,927,109,000 $667,511,000 $1,000,616,000 $-307,197,000 $9,420,000 $313,856,000 $129,200,000