Recent Annual Filings for LXU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,187,188,000 $522,400,000 $548,437,000 $-19,353,000 $86,576,000 $-114,298,000 $-80,802,000
2023 $1,298,184,000 $593,709,000 $559,813,000 $27,923,000 $137,521,000 $-157,658,000 $37,263,000
2022 $1,439,819,000 $901,711,000 $632,190,000 $230,347,000 $345,654,000 $5,706,000 $-18,375,000
2021 $1,132,840,000 $556,239,000 $517,250,000 $43,545,000 $87,627,000 $12,947,000 $65,880,000
2020 $1,053,302,000 $351,316,000 $417,976,000 $-61,911,000 $-2,513,000 $24,412,000 $-6,527,000
2019 $1,088,489,000 $365,070,000 $449,411,000 $-63,417,000 $2,099,000 $30,569,000 $-3,257,000
2018 $1,148,333,000 $378,160,000 $448,646,000 $-72,226,000 $17,622,000 $547,000 $-7,571,000
2017 $1,189,182,000 $427,504,000 $498,556,000 $-29,217,000 $815,000 $-16,368,000 $-26,398,000