Recent Annual Filings for LSTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,813,311,000 $4,819,245,000 $4,585,148,000 $190,801,000 $286,561,000 $-237,339,000 $38,723,000
2023 $1,801,846,000 $5,303,322,000 $4,969,314,000 $272,553,000 $393,648,000 $-247,971,000 $139,199,000
2022 $1,931,879,000 $7,436,562,000 $6,868,641,000 $421,293,000 $622,659,000 $-475,682,000 $122,205,000
2021 $2,045,465,000 $6,537,568,000 $6,034,757,000 $378,120,000 $276,740,000 $-232,947,000 $-29,783,000
2020 $1,653,799,000 $4,132,981,000 $3,883,430,000 $192,319,000 $210,717,000 $-252,032,000 $-70,161,000
2019 $1,427,711,000 $4,084,577,000 $3,790,714,000 $231,383,000 $307,840,000 $-170,565,000 $119,779,000
2018 $1,380,564,000 $4,615,144,000 $4,287,225,000 $252,568,000 $297,901,000 $-330,679,000 $-42,680,000
2017 $1,352,460,000 $3,646,364,000 $3,404,894,000 $177,015,000 $138,963,000 $-54,396,000 $63,519,000