Recent Annual Filings for SKIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $685,683,000 $334,294,000 $363,844,000 $-33,015,000 $16,134,000 $-158,341,000 $-152,962,000
2023 $929,113,000 $397,991,000 $499,880,000 $-98,622,000 $21,750,000 $-37,448,000 $-45,172,000
2022 $1,008,907,000 $365,876,000 $320,844,000 $41,111,000 $-106,600,000 $-205,242,000 $-333,689,000
2021 $1,218,806,000 $260,086,000 $637,436,000 $-376,607,000 $-28,361,000 $959,035,000 $892,400,000