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 |