Recent Annual Filings for LUCD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $30,715,000 $4,346,000 $49,875,000 $-45,529,000 $-44,140,000 $48,248,000 $3,462,000
2023 $27,270,000 $2,428,000 $55,094,000 $-52,666,000 $-32,817,000 $29,460,000 $-3,578,000
2022 $32,509,000 $377,000 $56,548,000 $-56,171,000 $-29,685,000 $2,611,000 $-31,182,000
2021 $58,999,000 $-85,000 $27,334,000 $-28,078,000 $-17,668,000 $72,075,000