Recent Annual Filings for SNBR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $860,810,000 $1,682,296,000 $1,707,792,000 $-20,334,000 $27,143,000 $-1,441,000 $-589,000
2023 $950,880,000 $1,887,482,000 $1,907,235,000 $-15,287,000 $-9,028,000 $68,127,000 $747,000
2022 $953,936,000 $2,114,297,000 $2,065,402,000 $36,610,000 $36,138,000 $33,872,000 $-597,000
2020 $800,136,000 $1,856,555,000 $1,680,583,000 $139,189,000 $279,661,000 $-237,993,000 $2,650,000
2019 $806,043,000 $1,698,352,000 $1,597,844,000 $81,845,000 $189,160,000 $-132,555,000 $-19,000
2018 $470,138,000 $1,531,575,000 $1,445,054,000 $69,539,000 $131,540,000 $-88,336,000 $-2,039,000
2017 $471,834,000 $1,444,497,000 $1,353,459,000 $65,077,000 $172,607,000 $-123,922,000 $-7,958,000