Recent Annual Filings for LGCY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2018 $1,474,931,000 $554,861,000 $507,029,000 $43,833,000 $175,941,000 $12,110,000 $-77,000
2017 $1,493,082,000 $436,301,000 $418,243,000 $-53,897,000 $100,209,000 $177,718,000 $-1,309,000
2016 $1,299,826,000 $314,357,000 $399,354,000 $-55,820,000 $-310,000 $-119,130,000 $549,000
2015 $1,625,902,000 $338,779,000 $1,064,476,000 $-701,541,000 $2,046,000 $376,655,000 $1,281,000
2014 $1,898,606,000 $532,299,000 $889,236,000 $-283,645,000 $207,216,000 $423,339,000 $-1,859,000
2013 $1,659,833,000 $485,489,000 $457,845,000 $-35,272,000 $241,134,000 $-32,658,000 $-925,000
2012 $1,689,999,000 $346,460,000 $294,969,000 $68,637,000 $149,641,000 $546,996,000 $358,000
2011 $1,043,488,000 $336,885,000 $252,390,000 $72,061,000 $184,237,000 $22,252,000 $-327,000