Recent Annual Filings for NL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $578,258,000 $145,941,000 $62,623,000 $65,526,000 $25,574,000 $-41,634,000 $42,808,000
2023 $576,662,000 $161,287,000 $167,706,000 $3,970,000 $37,003,000 $-15,227,000 $43,880,000
2022 $609,867,000 $166,562,000 $127,321,000 $54,221,000 $26,931,000 $-36,801,000 $-77,740,000
2021 $596,152,000 $140,815,000 $79,976,000 $63,793,000 $17,609,000 $-14,347,000 $9,970,000
2020 $548,150,000 $114,537,000 $100,949,000 $16,604,000 $19,023,000 $-8,481,000 $7,402,000
2019 $557,492,000 $124,243,000 $95,629,000 $24,615,000 $27,435,000 $-37,351,000
2018 $547,242,000 $118,217,000 $172,591,000 $-49,477,000 $17,076,000 $-335,000 $18,048,000
2017 $551,616,000 $112,035,000 $-157,000 $158,935,000 $18,638,000 $-333,000 $4,699,000