Recent Annual Filings for LYTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $348,800,000 $469,638,000 $436,539,000 $24,840,000 $43,392,000 $14,308,000 $2,447,000
2023 $296,149,000 $496,979,000 $463,653,000 $26,056,000 $49,588,000 $-47,149,000 $-764,000
2022 $311,080,000 $455,120,000 $436,035,000 $15,028,000 $-3,863,000 $5,633,000 $197,000
2021 $286,821,000 $315,612,000 $307,696,000 $6,010,000 $28,009,000 $63,578,000 $-1,371,000
2020 $172,263,000 $305,558,000 $293,865,000 $9,483,000 $29,712,000 $-44,396,000 $2,727,000
2019 $201,100,000 $328,852,000 $351,120,000 $-16,323,000 $11,491,000 $-11,117,000 $-2,212,000
2018 $229,517,000 $342,023,000 $365,355,000 $-19,541,000 $11,500,000 $-9,493,000 $139,000
2017 $256,680,000 $331,392,000 $328,312,000 $3,000,000 $21,032,000 $46,787,000 $-30,796,000