Recent Annual Filings for CULP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $132,054,000 $225,333,000 $236,103,000 $-13,720,000 $-8,224,000 $-126,000 $-10,952,000
2023 $152,183,000 $234,934,000 $263,334,000 $-31,533,000 $7,804,000 $-436,000 $6,414,000
2022 $177,563,000 $294,839,000 $295,164,000 $-3,325,000 $-17,441,000 $-7,423,000 $-22,459,000
2021 $214,080,000 $299,720,000 $288,840,000 $3,374,000 $21,478,000 $-43,710,000 $-32,781,000
2020 $215,084,000 $256,166,000 $263,845,000 $-28,717,000 $4,970,000 $30,643,000 $29,782,000
2019 $219,726,000 $296,669,000 $284,673,000 $5,583,000 $13,873,000 $-10,161,000 $18,780,000
2018 $217,984,000 $323,725,000 $296,842,000 $20,796,000 $27,473,000 $-12,012,000 $433,000