Recent Annual Filings for NWPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $589,653,000 $492,548,000 $450,177,000 $34,332,000 $55,051,000 $-33,376,000 $939,000
2023 $597,881,000 $444,355,000 $415,076,000 $20,901,000 $53,455,000 $-32,696,000 $387,000
2022 $601,340,000 $457,665,000 $416,315,000 $32,042,000 $17,540,000 $6,194,000 $684,000
2021 $547,679,000 $333,313,000 $318,155,000 $11,707,000 $-5,811,000 $71,033,000 $-34,930,000
2020 $373,015,000 $285,907,000 $260,273,000 $18,998,000 $56,087,000 $12,259,000 $6,913,000
2019 $310,245,000 $279,317,000 $246,677,000 $27,859,000 $42,886,000 $-12,126,000 $24,337,000
2018 $271,350,000 $172,149,000 $155,089,000 $20,221,000 $-18,400,000 $9,330,000 $-36,969,000
2017 $230,324,000 $132,780,000 $142,272,000 $-10,125,000 $-7,520,000 $-463,000 $21,817,000