Recent Annual Filings for XPEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $285,607,000 $420,400,000 $363,622,000 $42,462,000 $47,824,000 $-19,253,000 $10,478,000
2023 $252,041,000 $396,293,000 $330,262,000 $53,794,000 $37,384,000 $-7,259,000 $3,553,000
2022 $193,362,000 $323,993,000 $272,028,000 $39,768,000 $12,057,000 $602,000 $-1,588,000
2021 $161,014,517 $259,263,077 $219,823,106 $30,910,201 $18,267,674 $19,241,027 $-19,382,876
2020 $83,839,831 $158,924,448 $136,120,089 $19,252,137 $18,466,011 $3,511,229 $17,526,151
2019 $51,601,435 $129,932,881 $112,982,453 $14,280,265 $10,965,519 $-1,143,240 $7,529,747