Recent Annual Filings for USNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $748,193,000 $854,503,000 $778,152,000 $33,085,000 $60,992,000 $9,553,000 $-142,545,000
2023 $632,757,000 $921,010,000 $818,557,000 $62,880,000 $70,641,000 $-14,237,000 $44,429,000
2022 $577,740,000 $1,186,464,000 $1,015,822,000 $120,588,000 $121,227,000 $-181,412,000 $-74,372,000
2020 $640,887,000 $1,134,644,000 $956,696,000 $134,940,000 $160,401,000 $-59,442,000 $66,998,000
2019 $516,934,000 $1,060,902,000 $910,406,000 $97,012,000 $126,733,000 $-152,052,000 $20,454,000
2018 $554,463,000 $1,189,248,000 $997,738,000 $117,263,000 $152,119,000 $-105,277,000 $-33,301,000
2017 $519,269,000 $1,047,265,000 $912,625,000 $72,756,000 $123,783,000 $-50,316,000 $71,357,000
2016 $470,642,000 $1,006,083,000 $867,531,000 $92,170,000 $137,030,000 $-64,860,000 $32,564,000