Recent Annual Filings for LFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,128,594,378 $41,356,609 $22,649,190 $27,129,666 $-341,172,107 $20,046,906
2023 $1,446,932,447 $34,392,996 $19,714,496 $24,738,341 $296,132,655 $4,150,827
2022 $1,127,965,537 $23,874,804 $9,863,660 $16,289,054 $64,630,113 $29,087,313
2021 $1,048,923,353 $20,678,748 $10,527,222 $13,846,947 $412,348,370 $-51,096,304
2020 $621,489,779 $18,430,514 $8,449,770 $12,219,209 $-46,770,769 $53,363,526