Recent Annual Filings for LPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,569,000,000 $2,941,000,000 $2,381,000,000 $388,000,000 $605,000,000 $-292,000,000 $118,000,000
2023 $2,437,000,000 $2,581,000,000 $2,329,000,000 $187,000,000 $316,000,000 $-77,000,000 $-161,000,000
2022 $2,350,000,000 $3,854,000,000 $2,695,000,000 $1,158,000,000 $1,144,000,000 $-982,000,000 $11,000,000
2021 $2,194,000,000 $4,553,000,000 $2,754,000,000 $1,350,000,000 $1,484,000,000 $-1,388,000,000 $-165,000,000
2020 $2,086,000,000 $2,788,000,000 $2,167,000,000 $499,000,000 $659,000,000 $-272,000,000 $340,000,000
2019 $1,835,000,000 $2,310,000,000 $2,333,000,000 $-17,000,000 $159,000,000 $-717,000,000 $-697,000,000
2018 $2,514,100,000 $2,828,000,000 $2,307,000,000 $387,000,000 $510,500,000 $-317,000,000 $-49,500,000
2017 $2,448,500,000 $2,733,900,000 $2,210,500,000 $404,900,000 $473,700,000 $-9,400,000 $268,700,000