Recent Annual Filings for LOCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $592,014,000 $473,008,000 $431,840,000 $25,684,000 $46,781,000 $-32,645,000 $-4,804,000
2023 $592,301,000 $468,664,000 $428,872,000 $25,428,000 $40,688,000 $-40,446,000 $-13,205,000
2022 $597,218,000 $469,959,000 $439,839,000 $21,217,000 $38,549,000 $-29,187,000 $-9,553,000
2021 $613,786,000 $454,363,000 $413,028,000 $29,664,000 $52,099,000 $-22,787,000 $16,827,000
2020 $605,221,000 $426,087,000 $392,531,000 $23,388,000 $40,547,000 $-28,708,000 $5,149,000
2019 $624,752,000 $442,330,000 $404,004,000 $24,900,000 $36,135,000 $-24,365,000 $1,101,000
2018 $450,226,000 $435,828,000 $445,289,000 $-8,994,000 $45,442,000 $-19,221,000 $-1,581,000
2017 $442,711,000 $401,701,000 $394,877,000 $8,619,000 $53,671,000 $-11,051,000 $6,382,000