Recent Annual Filings for LSCC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $840,894,000 $737,154,000 $522,298,000 $258,569,000 $269,588,000 $-253,717,000 $-17,379,000
2022 $798,713,000 $660,356,000 $478,244,000 $177,919,000 $238,806,000 $-188,072,000 $15,802,000
2020 $680,067,000 $408,120,000 $359,664,000 $48,247,000 $91,687,000 $-8,101,000 $62,718,000
2019 $612,016,000 $404,093,000 $359,028,000 $43,221,000 $124,137,000 $-109,912,000 $-970,000
2018 $623,687,000 $398,799,000 $401,919,000 $-27,201,000 $51,458,000 $-16,841,000 $12,236,000
2017 $635,961,000 $385,961,000 $433,581,000 $-67,858,000 $38,514,000 $-32,611,000 $263,000
2016 $766,883,000 $427,054,000 $453,753,000 $-55,345,000 $41,734,000 $-1,112,000 $21,946,000
2014 $510,530,000 $366,127,000 $324,511,000 $46,841,000 $40,122,000 $-4,348,000 $1,301,000