Recent Annual Filings for LW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,367,000,000 $6,467,600,000 $5,512,100,000 $739,400,000 $798,200,000 $-48,000,000 $-233,900,000
2023 $6,519,800,000 $5,350,600,000 $4,117,100,000 $997,700,000 $761,700,000 $340,800,000 $-238,400,000
2022 $4,139,800,000 $4,098,900,000 $3,826,200,000 $155,800,000 $418,100,000 $-363,400,000 $-255,800,000
2021 $4,209,400,000 $3,670,900,000 $3,262,600,000 $387,800,000 $553,200,000 $-974,000,000 $-583,300,000
2020 $4,662,300,000 $3,792,400,000 $3,314,200,000 $350,700,000 $574,000,000 $1,125,000,000 $1,353,000,000
2019 $3,048,100,000 $3,756,500,000 $3,135,700,000 $466,200,000 $680,900,000 $-299,600,000 $-41,700,000
2018 $2,752,600,000 $3,423,700,000 $2,868,800,000 $438,700,000 $481,200,000 $-178,900,000 $-1,500,000
2017 $2,485,600,000 $3,168,000,000 $2,657,600,000 $340,100,000 $446,900,000 $-142,000,000 $20,700,000