Recent Annual Filings for LNN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $760,232,000 $607,074,000 $528,024,000 $57,266,000 $95,761,000 $-38,641,000 $31,179,000
2023 $745,660,000 $674,084,000 $573,709,000 $72,842,000 $119,707,000 $-17,299,000 $54,991,000
2022 $710,653,000 $770,743,000 $682,875,000 $61,929,000 $3,048,000 $-12,692,000 $-18,594,000
2021 $637,185,000 $567,646,000 $517,260,000 $45,211,000 $43,968,000 $-11,665,000 $4,684,000
2020 $570,526,000 $474,692,000 $425,849,000 $37,904,000 $46,034,000 $-13,438,000 $-5,918,000
2019 $500,314,000 $444,072,000 $441,965,000 $938,000 $3,797,000 $-14,642,000 $-32,064,000
2018 $500,256,000 $547,705,000 $513,852,000 $14,297,000 $33,934,000 $-11,252,000 $39,167,000
2017 $506,032,000 $517,985,000 $482,270,000 $25,243,000 $39,449,000 $-10,302,000 $20,374,000