Recent Annual Filings for LZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $373,883,000 $681,881,000 $638,798,000 $30,592,000 $135,639,000 $-183,285,000 $-83,655,000
2023 $447,818,000 $660,727,000 $629,233,000 $12,688,000 $124,308,000 $-56,150,000 $36,637,000
2022 $405,395,000 $619,979,000 $667,652,000 $-45,441,000 $73,837,000 $-93,343,000 $-50,215,000
2021 $431,015,000 $575,080,000 $694,695,000 $-96,632,000 $54,152,000 $123,359,000 $99,827,000
2010 $4,967,000,000 $5,417,800,000 $4,219,100,000 $701,900,000 $688,900,000 $-598,400,000 $-94,800,000