Recent Annual Filings for LGIH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,758,534,000 $2,202,598,000 $1,943,685,000 $196,071,000 $-143,739,000 $132,338,000 $4,219,000
2023 $3,407,851,000 $2,358,580,000 $2,096,826,000 $199,227,000 $-56,968,000 $87,596,000 $16,980,000
2022 $3,124,828,000 $2,304,455,000 $1,886,339,000 $326,567,000 $-370,451,000 $357,903,000 $-18,516,000
2021 $2,351,865,000 $3,050,149,000 $2,507,374,000 $429,645,000 $21,700,000 $63,263,000 $14,572,000
2020 $1,826,087,000 $2,367,929,000 $2,000,080,000 $323,895,000 $202,158,000 $-198,913,000 $-2,403,000
2019 $1,666,115,000 $1,838,154,000 $1,606,322,000 $178,608,000 $-41,934,000 $35,448,000 $-8,279,000
2018 $1,395,473,000 $1,504,400,000 $1,305,302,000 $155,286,000 $-116,723,000 $170,714,000 $-20,947,000
2017 $1,079,892,000 $1,257,960,000 $1,086,558,000 $113,306,000 $-68,467,000 $87,038,000 $18,053,000