$12.25
+ $0.05 (0.41%)
End-of-day quote: 05/07/2024
NYSE:NUS

Nu Skin Enterprises Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$1.97B $2.23B $2.70B $2.58B $2.42B $2.68B $2.28B $2.21B $2.25B $2.57B $3.18B $2.13B $1.72B $1.54B $1.33B $1.25B $1.16B $1.12B $1.18B $1.14B
GM % Gross Margin %
72.26% 71.65% 74.95% 74.51% 75.98% 76.60% 77.97% 78.75% 78.22% 81.38% 84.08% 83.44% 83.15% 82.28% 81.70% 81.68% 81.92% 82.50% 82.54% 83.20%
OM Operating Margin
6.79% 7.16% 10.60% 9.98% 11.05% 11.90% 12.04% 11.89% 10.89% 13.71% 17.44% 15.99% 15.50% 14.12% 11.90% 10.05% 7.83% 7.77% 10.43% 11.05%
EPS Earnings Per Share
$0.00 $1.85 $2.90 $3.91 $3.63 $3.10 $3.52 $3.23 $2.89 $2.81 $4.15 $5.94 $3.52 $2.69 $2.11 $1.50 $1.02 $0.84 $0.75 $1.04 $1.07
Div. Dividends
$1.56 $1.54 $1.52 $1.50 $1.48 $1.46 $1.44 $1.42 $1.40 $1.38 $1.20 $0.80 $0.63 $0.50 $0.50 $0.44 $0.42 $0.40 $0.36 $0.32
PR % Payout Ratio %
84.32% 53.10% 38.87% 41.32% 47.74% 41.48% 44.58% 49.13% 49.82% 33.25% 20.20% 22.73% 23.42% 23.70% 33.33% 43.14% 50.00% 53.33% 34.62% 29.91%
Sha. Shares
49.5m 49.5m 49.9m 50.9m 55.6m 55.4m 52.7m 52.6m 56m 59m 59m 58.4m 62.3m 62.1m 62.8m 63.4m 63.4m 66.9m 70.1m 69.7m
OCF Operating Cash Flow
$118.64M $108.06M $141.58M $379.14M $177.93M $202.74M $302.56M $275.26M $322.11M $-56.46M $530.18M $310.98M $224.32M $187.88M $133.94M $103.31M $48.65M $75.80M $114.10M $130.35M
FCF Free Cash Flow
$89.36M $49.01M $72.97M $315.32M $111.86M $132.37M $242.40M $225.04M $265.49M $-157.94M $345.07M $214.33M $182.51M $134.10M $113.72M $87.30M $25.91M $40.12M $77.67M $95.35M
FCFS Free Cash Flow Per Share
$1.21 $0.98 $1.45 $6.03 $2.01 $2.40 $4.59 $4.06 $4.58 $-2.67 $5.89 $3.54 $2.94 $2.15 $1.80 $1.37 $0.40 $0.55 $1.19 $1.35