Recent Annual Filings for LINC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $436,556,000 $440,064,000 $424,887,000 $10,201,000 $29,306,000 $-3,331,000 $-20,996,000
2023 $345,249,000 $378,070,000 $344,712,000 $26,921,000 $25,558,000 $-2,945,000 $29,982,000
2022 $291,566,000 $348,287,000 $332,009,000 $12,914,000 $882,000 $-12,548,000 $-33,020,000
2021 $295,299,000 $335,336,000 $286,075,000 $37,643,000 $27,447,000 $-20,014,000 $45,281,000
2020 $245,190,000 $293,095,000 $278,314,000 $47,856,000 $23,485,000 $-18,620,000 $-618,000
2019 $194,763,000 $273,342,000 $268,104,000 $2,621,000 $988,000 $-3,480,000 $-7,302,000
2018 $146,038,000 $263,200,000 $267,154,000 $-6,097,000 $-1,694,000 $-4,565,000 $-8,608,000
2017 $155,213,000 $261,853,000 $266,569,000 $-9,893,000 $-11,321,000 $-5,097,000 $-6,501,000