Recent Annual Filings for NPK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $453,397,000 $388,228,000 $337,558,000 $41,473,000 $-53,426,000 $-31,533,000 $-69,994,000
2023 $440,536,000 $340,912,000 $298,481,000 $34,684,000 $45,389,000 $-27,996,000 $16,946,000
2022 $411,847,000 $321,623,000 $295,679,000 $20,576,000 $8,768,000 $-31,426,000 $-39,094,000
2021 $420,398,000 $355,777,000 $323,318,000 $25,520,000 $34,688,000 $-43,467,000 $23,769,000
2020 $433,170,000 $352,627,000 $292,639,000 $46,976,000 $40,973,000 $-41,671,000 $6,457,000
2019 $410,253,000 $308,510,000 $256,204,000 $42,335,000 $9,583,000 $-42,011,000 $22,732,000
2018 $413,618,000 $323,317,000 $270,978,000 $40,047,000 $76,248,000 $-41,467,000 $45,625,000
2017 $411,873,000 $333,633,000 $268,348,000 $52,920,000 $24,278,000 $-38,000,000 $-15,812,000