Recent Annual Filings for LSEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,471,232,000 $1,209,947,000 $1,165,402,000 $32,650,000 $27,167,000 $-23,768,000 $-4,079,000
2022 $1,440,496,000 $1,446,449,000 $1,345,384,000 $75,665,000 $15,995,000 $28,004,000 $-219,619,000
2021 $1,265,514,000 $1,023,304,000 $956,574,000 $52,735,000 $33,400,000 $225,384,000 $233,205,000