Recent Annual Filings for LSF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,259,001 $43,295,137 $45,054,974 $-1,820,161 $865,502 $-33,380 $807,346
2023 $18,031,959 $34,224,198 $44,372,120 $-10,163,117 $-10,765,881 $-27,422 $-10,102,996
2022 $30,039,340 $35,828,392 $76,145,441 $-40,276,302 $-14,312,439 $102,267 $-5,239,432
2021 $65,847,375 $36,810,953 $60,663,665 $23,795,323 $-22,095,807 $576,247 $-34,158,846
2020 $82,342,700 $26,006,398 $38,856,699 $-12,835,868 $-14,746,390 $75,231,348 $56,203,971