Recent Annual Filings for LMB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $352,129,000 $518,781,000 $478,815,000 $30,875,000 $36,783,000 $-9,117,000 $-14,903,000
2023 $304,439,000 $516,350,000 $488,250,000 $20,754,000 $57,366,000 $-16,490,000 $23,784,000
2022 $294,556,000 $496,782,000 $487,174,000 $6,799,000 $35,373,000 $-13,353,000 $21,525,000
2021 $267,512,000 $490,351,000 $480,874,000 $6,714,000 $-24,233,000 $15,865,000 $-27,671,000
2020 $262,157,000 $568,209,000 $561,220,000 $5,807,000 $39,815,000 $-4,689,000 $33,803,000
2019 $261,617,000 $553,334,000 $555,391,000 $-1,775,000 $-926,000 $10,142,000 $6,725,000
2018 $253,634,000 $546,526,000 $549,006,000 $-1,845,000 $25,322,000 $-20,649,000 $993,000
2017 $213,020,000 $485,739,000 $481,876,000 $712,000 $-4,065,000 $519,000 $-6,780,000