Recent Annual Filings for LINE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,661,000,000 $5,340,000,000 $5,701,000,000 $-1,018,000,000 $703,000,000 $320,000,000 $104,000,000
2015 $9,976,946,000 $2,883,334,000 $7,805,186,000 $-4,759,811,000 $1,249,457,000 $-941,796,000 $359,000
2014 $16,423,509,000 $4,983,303,000 $4,826,624,000 $-451,809,000 $1,711,890,000 $157,852,000 $-50,362,000
2013 $16,504,964,000 $2,331,655,000 $2,590,273,000 $-691,337,000 $1,166,212,000 $138,033,000 $50,928,000
2012 $11,451,238,000 $1,774,240,000 $1,763,830,000 $-386,616,000 $350,907,000 $3,334,051,000 $129,000
2011 $8,000,137,000 $1,622,454,000 $816,420,000 $438,439,000 $518,706,000 $1,376,767,000 $-234,887,000