Recent Annual Filings for LRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,920,465,000 $2,040,069,000 $1,771,404,000 $204,176,000 $278,797,000 $-49,119,000 $89,807,000
2023 $1,760,666,000 $1,837,358,000 $1,665,145,000 $126,689,000 $203,150,000 $-63,501,000 $21,409,000
2022 $1,643,545,000 $1,686,666,000 $1,539,592,000 $107,747,000 $206,884,000 $-93,310,000 $2,816,000
2021 $1,577,297,000 $1,536,760,000 $1,441,454,000 $70,884,000 $134,150,000 $204,576,000 $173,283,000
2020 $1,073,263,000 $1,040,765,000 $1,007,338,000 $24,639,000 $80,415,000 $65,628,000 $-71,322,000
2019 $819,606,000 $1,015,752,000 $970,266,000 $37,421,000 $141,606,000 $-28,989,000 $51,508,000
2018 $741,963,000 $917,734,000 $892,189,000 $27,338,000 $103,627,000 $-50,901,000 $2,249,000
2017 $735,284,000 $888,519,000 $875,390,000 $-336,000 $88,728,000 $-14,644,000 $16,875,000