Recent Annual Filings for LFUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,995,275,000 $2,362,657,000 $2,034,059,000 $299,432,000 $457,387,000 $-185,726,000 $-7,816,000
2022 $3,903,734,000 $2,513,897,000 $2,070,853,000 $351,005,000 $419,718,000 $310,202,000 $82,103,000
2021 $3,151,704,000 $2,079,928,000 $1,738,903,000 $301,500,000 $373,344,000 $-68,984,000 $-204,689,000
2020 $2,747,593,000 $1,445,695,000 $1,284,442,000 $145,652,000 $258,031,000 $-67,808,000 $156,386,000
2019 $2,559,898,000 $1,503,873,000 $1,337,989,000 $-8,899,000 $245,328,000 $-146,276,000 $41,406,000
2018 $2,614,306,000 $1,718,468,000 $1,513,526,000 $-24,461,000 $331,828,000 $121,897,000 $60,057,000
2017 $1,740,102,000 $1,221,534,000 $1,017,497,000 $130,430,000 $269,170,000 $-24,681,000 $154,552,000
2016 $1,491,194,000 $1,056,159,000 $932,885,000 $75,580,000 $180,133,000 $284,196,000 $-53,662,000