Recent Annual Filings for LOGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,604,704,000 $4,298,467,000 $3,676,871,000 $601,218,000 $1,145,116,000 $-690,173,000 $371,819,000
2023 $3,560,753,000 $4,538,818,000 $4,075,296,000 $368,421,000 $534,010,000 $-583,353,000 $-179,693,000
2022 $4,035,405,000 $5,481,101,000 $4,705,283,000 $649,305,000 $298,318,000 $-606,819,000 $-421,611,000
2021 $4,142,378,000 $5,252,279,000 $4,104,159,000 $959,002,000 $1,458,638,000 $-299,929,000 $1,034,761,000
2020 $2,363,474,000 $2,975,851,000 $2,651,525,000 $434,761,000 $425,000,000 $-176,656,000 $111,050,000
2019 $2,024,124,000 $2,788,322,000 $2,517,189,000 $245,330,000 $305,181,000 $-159,133,000 $-37,431,000
2018 $1,743,157,000 $2,566,863,000 $2,334,598,000 $215,793,000 $346,261,000 $-127,873,000 $94,414,000
2017 $1,498,677,000 $2,221,427,000 $2,006,438,000 $217,155,000 $278,728,000 $-146,056,000 $28,338,000