Recent Annual Filings for ELF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,129,247,000 $1,023,932,000 $882,942,000 $127,613,000 $71,154,000 $200,945,000 $-12,561,000
2023 $595,601,000 $578,844,000 $514,770,000 $61,530,000 $101,883,000 $-22,735,000 $77,425,000
2022 $494,632,000 $392,155,000 $366,724,000 $21,770,000 $19,513,000 $-29,110,000 $-14,415,000
2021 $487,393,000 $318,110,000 $314,420,000 $6,232,000 $29,475,000 $-11,400,000 $11,601,000
2020 $453,104,000 $282,851,000 $258,782,000 $17,884,000 $44,313,000 $-16,675,000 $-7,707,000
2018 $435,856,000 $267,435,000 $249,479,000 $15,525,000 $55,582,000 $-5,564,000 $41,146,000
2017 $417,244,000 $269,888,000 $247,419,000 $33,475,000 $12,378,000 $-7,195,000 $-5,236,000
2016 $414,729,000 $229,567,000 $219,755,000 $5,313,000 $2,120,000 $8,310,000 $1,291,000