Recent Annual Filings for LYV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $19,074,045,000 $22,749,073,000 $21,854,529,000 $851,843,000 $1,370,794,000 $-87,281,000 $626,582,000
2022 $16,460,841,000 $16,681,254,000 $16,175,807,000 $467,081,000 $1,832,063,000 $-143,340,000 $724,582,000
2021 $14,402,318,000 $6,268,447,000 $6,879,714,000 $-579,741,000 $1,780,568,000 $1,171,332,000 $2,341,353,000
2020 $10,589,303,000 $1,861,178,000 $3,717,843,000 $-1,859,086,000 $-1,083,388,000 $1,350,082,000 $72,197,000
2019 $10,975,615,000 $11,547,969,000 $11,362,865,000 $117,730,000 $469,783,000 $328,889,000 $96,039,000
2018 $8,496,886,000 $10,787,800,000 $10,656,695,000 $53,651,000 $941,586,000 $188,784,000 $549,381,000
2017 $7,504,263,000 $10,337,448,000 $10,346,828,000 $75,939,000 $623,006,000 $-127,083,000 $298,731,000
2016 $6,764,266,000 $8,354,934,000 $8,306,608,000 $-44,753,000 $597,490,000 $99,212,000 $223,466,000