Recent Annual Filings for LPSN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $607,778,000 $312,474,000 $495,669,000 $-137,982,000 $-15,130,000 $14,972,000 $-29,688,000
2023 $835,513,000 $401,983,000 $513,358,000 $-98,242,000 $-19,765,000 $-151,142,000 $-189,284,000
2022 $1,088,940,000 $514,800,000 $736,684,000 $-230,860,000 $-62,101,000 $1,618,000 $-121,324,000
2021 $1,186,656,000 $469,624,000 $562,890,000 $-130,618,000 $3,247,000 $11,843,000 $-130,620,000
2020 $1,006,432,000 $366,620,000 $456,071,000 $-102,990,000 $33,605,000 $483,843,000 $477,629,000
2019 $512,710,000 $291,609,000 $378,641,000 $-96,164,000 $-59,158,000 $217,851,000 $110,074,000
2018 $290,103,000 $249,838,000 $273,541,000 $-26,928,000 $4,779,000 $33,926,000 $10,334,000
2017 $232,799,000 $218,876,000 $236,702,000 $-14,566,000 $10,290,000 $7,209,000 $5,226,000