Recent Annual Filings for LILA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $13,594,600,000 $4,511,100,000 $3,993,400,000 $-134,500,000 $897,000,000 $-62,400,000 $210,900,000
2022 $13,575,200,000 $4,815,100,000 $4,721,000,000 $-261,900,000 $868,800,000 $-29,200,000 $-285,300,000
2021 $15,386,000,000 $4,799,000,000 $4,717,800,000 $-455,100,000 $1,016,200,000 $426,600,000 $161,700,000
2020 $15,230,000,000 $3,764,600,000 $3,672,900,000 $-920,500,000 $640,100,000 $271,100,000 $-1,544,500,000
2019 $14,937,500,000 $3,867,000,000 $3,513,200,000 $-181,200,000 $918,200,000 $1,539,800,000 $1,815,000,000
2018 $13,446,600,000 $3,705,700,000 $3,729,300,000 $-596,400,000 $816,800,000 $256,100,000 $73,800,000
2017 $57,596,800,000 $15,048,900,000 $13,101,400,000 $-775,800,000 $5,708,500,000 $-4,680,500,000 $573,100,000
2016 $68,684,100,000 $20,008,800,000 $17,207,500,000 $495,900,000 $5,935,500,000 $-1,385,700,000 $647,100,000