Recent Annual Filings for LMFA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,047,225 $10,999,648 $18,655,080 $-7,655,432 $-11,946,179 $12,543,079 $976,321
2023 $37,712,797 $12,984,090 $31,798,886 $-18,875,367 $-3,404,681 $-731,031 $-1,836,175
2022 $53,189,618 $1,733,951 $28,179,172 $-27,883,287 $-9,136,039 $-299,033 $-28,321,179
2021 $62,103,941 $898,941 $-4,430,353 $5,003,116 $3,487,331 $41,483,135 $21,006,242
2020 $12,317,430 $1,263,602 $5,322,801 $-4,041,462 $-3,521,909 $12,555,752 $10,484,429
2019 $7,640,641 $3,025,388 $6,030,266 $-3,004,878 $-1,160,536 $-171,820 $-2,450,930
2018 $6,059,568 $3,389,537 $3,861,696 $-472,159 $-758,317 $4,831,796 $2,930,359
2017 $1,968,317 $4,391,979 $9,587,622 $-8,627,179 $-2,063,269 $-506,257 $-1,677,786