Recent Annual Filings for NATR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $240,855,000 $454,364,000 $435,938,000 $6,568,000 $25,298,000 $-9,905,000 $2,327,000
2023 $249,773,000 $445,320,000 $425,118,000 $14,382,000 $41,226,000 $-7,956,000 $22,341,000
2022 $229,778,000 $421,910,000 $406,695,000 $-2,558,000 $710,000 $-16,246,000 $-26,152,000
2021 $258,874,000 $444,084,000 $412,262,000 $29,957,000 $34,608,000 $-31,721,000 $-5,885,000
2020 $249,498,000 $385,205,000 $362,384,000 $24,228,000 $37,659,000 $3,878,000 $38,440,000
2019 $213,068,000 $362,215,000 $346,573,000 $6,811,000 $8,545,000 $-63,000 $2,991,000
2018 $193,016,000 $364,810,000 $361,610,000 $-2,177,000 $21,833,000 $-12,192,000 $7,728,000
2017 $195,195,000 $342,029,000 $338,807,000 $-12,689,000 $10,524,000 $1,573,000 $10,626,000