Recent Annual Filings for LSAK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $558,450,000 $564,222,000 $577,020,000 $-10,069,000 $28,789,000 $-7,113,000 $5,261,000
2023 $542,234,000 $527,971,000 $560,237,000 $-61,960,000 $410,000 $-19,121,000 $-35,169,000
2022 $656,565,000 $222,609,000 $262,509,000 $-66,995,000 $-37,198,000 $122,259,000 $-108,627,000