Recent Annual Filings for LIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $80,147,000,000 $33,005,000,000 $24,436,000,000 $5,611,000,000 $9,423,000,000 $-4,359,000,000 $186,000,000
2023 $80,811,000,000 $32,854,000,000 $24,866,000,000 $6,306,000,000 $9,305,000,000 $-5,400,000,000 $-772,000,000
2022 $79,658,000,000 $33,364,000,000 $27,821,000,000 $3,503,000,000 $8,864,000,000 $-3,089,000,000 $2,613,000,000
2021 $81,605,000,000 $30,793,000,000 $25,694,000,000 $3,603,000,000 $9,725,000,000 $-7,588,000,000 $-931,000,000
2020 $88,229,000,000 $27,243,000,000 $23,859,000,000 $2,783,000,000 $7,429,000,000 $-3,345,000,000 $1,054,000,000
2019 $86,612,000,000 $28,228,000,000 $25,301,000,000 $1,946,000,000 $6,188,000,000 $-8,992,000,000 $-1,752,000,000
2018 $93,386,000,000 $14,900,000,000 $9,851,000,000 $4,106,000,000 $3,702,000,000 $-4,998,000,000 $3,986,000,000
2013 $1,216,850,000 $652,363,000 $621,182,000 $166,459,000 $48,967,000 $56,621,000 $-33,782,000