Recent Annual Filings for LXP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,843,312,000 $358,458,000 $312,571,000 $39,488,000 $211,187,000 $-394,980,000 $-97,390,000
2023 $4,192,775,000 $340,503,000 $305,243,000 $27,717,000 $209,446,000 $118,962,000 $144,957,000
2022 $4,053,847,000 $321,245,000 $219,906,000 $140,190,000 $194,269,000 $-93,871,000 $-136,521,000
2021 $4,005,558,000 $343,997,000 $-42,577,000 $396,796,000 $220,346,000 $129,102,000 $11,686,000
2020 $3,493,226,000 $330,448,000 $142,304,000 $170,356,000 $201,835,000 $342,626,000 $50,111,000
2019 $3,180,260,000 $325,969,000 $42,187,000 $283,289,000 $192,184,000 $-53,156,000 $-47,937,000
2018 $2,953,840,000 $395,339,000 $164,413,000 $229,917,000 $217,811,000 $-707,611,000 $65,091,000
2017 $3,553,020,000 $391,641,000 $302,247,000 $88,727,000 $227,761,000 $52,480,000 $21,125,000