Recent Annual Filings for LZB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,913,442,000 $2,047,027,000 $1,881,275,000 $123,491,000 $158,127,000 $-81,227,000 $-5,580,000
2023 $1,866,263,000 $2,349,433,000 $2,143,644,000 $152,297,000 $205,167,000 $-37,139,000 $97,822,000
2022 $1,932,089,000 $2,356,811,000 $2,151,320,000 $147,250,000 $79,004,000 $-144,561,000 $-145,847,000
2021 $1,786,322,000 $1,734,244,000 $1,588,331,000 $113,494,000 $309,917,000 $-141,054,000 $131,175,000
2020 $1,434,889,000 $1,703,982,000 $1,588,809,000 $75,775,000 $164,242,000 $9,408,000 $131,741,000
2019 $1,059,790,000 $1,745,401,000 $1,650,074,000 $93,381,000 $150,745,000 $-32,787,000 $-5,084,000
2018 $892,967,000 $1,583,947,000 $1,455,057,000 $90,399,000 $115,750,000 $-76,255,000 $-13,988,000
2017 $888,855,000 $1,520,060,000 $1,389,320,000 $88,155,000 $146,174,000 $-51,597,000 $29,502,000