Recent Annual Filings for LPLA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,317,404,000 $12,385,107,000 $10,992,215,000 $1,058,616,000 $277,589,000 $1,417,432,000 $102,889,000
2023 $10,385,480,000 $10,052,848,000 $8,608,073,000 $1,066,250,000 $512,611,000 $-208,532,000 $-556,107,000
2022 $9,482,226,000 $8,600,825,000 $7,489,172,000 $845,702,000 $1,945,577,000 $-504,271,000 $1,064,906,000
2021 $7,991,600,000 $7,720,830,000 $7,119,501,000 $459,866,000 $453,134,000 $278,837,000 $273,330,000
2020 $6,523,571,000 $5,871,640,000 $5,245,567,000 $472,640,000 $789,941,000 $-275,186,000 $327,256,000
2019 $5,880,238,000 $5,624,856,000 $4,883,021,000 $559,880,000 $623,871,000 $-533,225,000 $-90,341,000
2018 $5,477,468,000 $5,188,400,000 $4,595,763,000 $439,459,000 $581,580,000 $-483,363,000 $-63,536,000
2017 $5,358,751,000 $4,281,481,000 $3,916,911,000 $238,548,000 $443,779,000 $57,340,000 $63,427,000