Recent Annual Filings for NUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,468,914,000 $1,732,084,000 $1,907,135,000 $-171,346,000 $111,742,000 $-133,176,000 $-69,174,000
2023 $1,806,463,000 $1,969,131,000 $1,942,553,000 $-4,902,000 $118,639,000 $10,730,000 $-8,668,000
2022 $1,820,970,000 $2,225,659,000 $2,136,689,000 $92,165,000 $108,062,000 $-99,504,000 $-74,868,000
2021 $1,906,480,000 $2,695,669,000 $2,463,210,000 $138,138,000 $141,582,000 $-104,702,000 $-63,090,000
2020 $1,957,076,000 $2,581,934,000 $2,325,702,000 $211,879,000 $379,141,000 $-245,166,000 $67,053,000
2019 $1,769,006,000 $2,420,416,000 $2,165,244,000 $168,195,000 $177,931,000 $-154,794,000 $-51,281,000
2018 $1,694,446,000 $2,679,008,000 $2,459,342,000 $108,271,000 $202,738,000 $-116,714,000 $-39,488,000
2017 $1,589,872,000 $2,279,099,000 $2,013,532,000 $147,241,000 $302,555,000 $-159,572,000 $69,153,000