Recent Annual Filings for LNSR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $69,585,000 $42,164,000 $56,547,000 $-14,379,000 $-9,659,000 $19,762,000 $5,947,000
2022 $55,844,000 $35,358,000 $55,272,000 $-19,914,000 $-14,856,000 $-1,992,000 $-16,963,000
2021 $66,465,000 $34,459,000 $54,060,000 $-19,601,000 $-8,969,000 $361,000 $-8,962,000
2020 $79,120,000 $26,382,000 $46,156,000 $-19,774,000 $-13,791,000 $50,001,000 $35,884,000