Recent Annual Filings for LPRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $296,368,000 $24,024,000 $88,629,000 $-135,010,000 $17,598,000 $-6,447,000 $7,255,000
2023 $374,037,000 $117,460,000 $88,602,000 $22,070,000 $82,658,000 $-42,330,000 $38,150,000
2022 $379,631,000 $179,594,000 $86,054,000 $66,620,000 $107,431,000 $-17,797,000 $89,010,000
2021 $318,825,000 $215,655,000 $24,487,000 $146,082,000 $95,156,000 $-77,808,000 $15,361,000
2020 $294,009,000 $108,892,000 $199,883,000 $-97,564,000 $24,640,000 $70,806,000 $94,250,000