Recent Annual Filings for LKFN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,678,374,000 $373,158,000 $261,469,000 $82,173,000 $102,485,000 $78,131,000 $16,381,000
2023 $6,524,029,000 $343,267,000 $232,934,000 $127,495,000 $113,981,000 $-37,507,000 $21,542,000
2022 $6,432,371,000 $239,567,000 $114,403,000 $-101,199,000 $169,342,000 $-95,776,000 $-552,958,000
2021 $6,557,323,000 $193,219,000 $75,775,000 $84,082,000 $113,768,000 $651,091,000 $433,313,000
2020 $5,830,435,000 $193,103,000 $89,227,000 $100,022,000 $87,228,000 $775,342,000 $150,546,000
2019 $4,946,745,000 $215,210,000 $107,825,000 $105,297,000 $100,039,000 $-48,887,000 $-117,541,000
2018 $4,875,254,000 $985,000 $-97,959,000 $75,131,000 $104,975,000 $102,209,000 $40,742,000
2017 $4,682,976,000 $165,698,000 $76,064,000 $59,047,000 $77,242,000 $327,708,000 $8,900,000