Recent Annual Filings for LII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,471,800,000 $5,341,300,000 $4,347,500,000 $770,100,000 $945,700,000 $-418,600,000 $354,400,000
2023 $2,798,300,000 $4,981,900,000 $4,244,400,000 $623,800,000 $736,200,000 $-406,200,000 $8,100,000
2022 $2,567,600,000 $4,718,400,000 $4,102,600,000 $494,600,000 $302,300,000 $-174,100,000 $21,600,000
2021 $2,171,900,000 $4,194,100,000 $3,634,000,000 $473,100,000 $515,500,000 $-498,700,000 $-92,900,000
2020 $2,032,500,000 $3,634,100,000 $3,188,900,000 $362,900,000 $612,400,000 $-441,800,000 $86,600,000
2019 $2,034,900,000 $3,807,200,000 $3,299,300,000 $493,700,000 $396,100,000 $-423,400,000 $-11,400,000
2018 $1,817,200,000 $3,883,900,000 $3,416,000,000 $327,600,000 $495,500,000 $-537,800,000 $-11,800,000
2017 $1,891,500,000 $3,839,600,000 $3,375,600,000 $343,400,000 $325,100,000 $-218,300,000 $8,700,000