Recent Annual Filings for NNBR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $456,893,000 $464,290,000 $509,724,000 $-48,685,000 $11,070,000 $-13,245,000 $-3,775,000
2023 $510,885,000 $489,270,000 $542,941,000 $-50,785,000 $29,344,000 $-2,883,000 $9,095,000
2022 $546,127,000 $498,738,000 $529,807,000 $-31,316,000 $7,717,000 $-5,186,000 $-15,848,000
2021 $579,101,000 $477,584,000 $500,026,000 $-11,395,000 $15,586,000 $2,557,000 $-19,482,000
2020 $624,962,000 $427,534,000 $579,622,000 $-89,770,000 $15,549,000 $-714,854,000 $16,435,000
2019 $1,541,984,000 $847,451,000 $899,150,000 $-59,981,000 $49,208,000 $5,299,000 $13,715,000
2018 $1,501,570,000 $770,657,000 $1,031,691,000 $-278,347,000 $40,939,000 $215,093,000 $-206,458,000
2017 $1,475,003,000 $619,793,000 $678,666,000 $175,903,000 $-59,818,000 $-14,251,000 $210,041,000