Recent Annual Filings for UEIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $323,354,000 $394,879,000 $413,477,000 $-31,621,000 $14,822,000 $-19,764,000 $-15,968,000
2023 $355,872,000 $420,457,000 $512,711,000 $-97,809,000 $25,190,000 $-34,779,000 $-23,989,000
2022 $504,163,000 $542,751,000 $531,358,000 $-7,256,000 $10,926,000 $20,501,000 $5,927,000
2021 $510,348,000 $601,602,000 $585,522,000 $10,299,000 $40,283,000 $-22,026,000 $3,660,000
2020 $510,290,000 $614,680,000 $570,775,000 $42,831,000 $73,392,000 $-65,964,000 $-17,149,000
2019 $564,159,000 $753,477,000 $743,075,000 $1,130,000 $85,257,000 $-39,231,000 $21,095,000
2018 $555,596,000 $680,241,000 $654,075,000 $8,242,000 $12,855,000 $-53,318,000 $-14,132,000
2017 $608,430,000 $695,790,000 $688,502,000 $-4,101,000 $13,788,000 $50,370,000 $11,827,000