Recent Annual Filings for LNTH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,980,340,000 $1,533,910,000 $1,102,933,000 $311,864,000 $544,750,000 $-118,536,000 $199,201,000
2023 $1,651,149,000 $1,296,429,000 $885,486,000 $326,883,000 $305,260,000 $-13,062,000 $298,044,000
2022 $1,321,258,000 $935,061,000 $908,342,000 $27,293,000 $281,781,000 $311,691,000 $316,590,000
2021 $863,784,000 $425,208,000 $500,246,000 $-69,716,000 $53,916,000 $-39,332,000 $17,957,000
2020 $869,821,000 $339,410,000 $350,889,000 $-14,561,000 $16,396,000 $-21,861,000 $-10,225,000
2019 $405,919,000 $347,337,000 $318,710,000 $31,815,000 $80,384,000 $-78,881,000 $-20,482,000
2018 $439,831,000 $343,374,000 $293,826,000 $40,444,000 $61,193,000 $-4,668,000 $37,111,000
2017 $383,858,000 $331,378,000 $291,739,000 $123,298,000 $54,777,000 $-13,450,000 $25,112,000