Recent Annual Filings for LSBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $685,504,000 $34,804,000 $28,938,000 $4,352,000 $2,508,000 $-44,223,000 $-20,599,000
2023 $725,118,000 $33,755,000 $27,536,000 $5,767,000 $6,205,000 $18,369,000 $44,097,000
2022 $699,914,000 $1,104,000 $-5,766,000 $-5,602,000 $8,136,000 $-8,884,000 $-57,952,000
2021 $713,739,000 $1,049,000 $-6,426,000 $5,017,000 $8,551,000 $21,801,000 $24,610,000
2020 $686,200,000 $878,000 $-4,504,000 $5,375,000 $5,603,000 $69,220,000 $12,686,000
2019 $610,869,000 $1,818,000 $-2,924,000 $5,289,000 $5,836,000 $58,432,000 $-462,000
2018 $545,708,000 $21,536,000 $16,951,000 $3,182,000 $6,114,000 $22,811,000 $-10,162,000
2017 $518,977,000 $19,408,000 $14,845,000 $2,787,000 $5,827,000 $26,069,000 $-4,566,000