Recent Annual Filings for HAIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,117,548,000 $1,736,286,000 $1,816,567,000 $-86,071,000 $116,355,000 $-89,729,000 $943,000
2023 $2,258,639,000 $1,796,643,000 $1,926,224,000 $-78,271,000 $66,819,000 $-63,060,000 $-12,148,000
2022 $2,458,384,000 $1,891,793,000 $1,788,302,000 $-13,598,000 $80,241,000 $212,787,000 $-10,359,000
2021 $2,205,908,000 $1,970,302,000 $1,861,509,000 $175,745,000 $196,759,000 $-162,443,000 $38,100,000
2020 $2,188,452,000 $2,053,903,000 $2,020,075,000 $-26,795,000 $151,166,000 $-404,282,000 $-1,218,000
2019 $2,582,620,000 $2,302,468,000 $2,354,455,000 $-224,426,000 $41,269,000 $-80,616,000 $-73,491,000
2018 $2,946,674,000 $2,457,769,000 $2,376,567,000 $20,933,000 $121,308,000 $-69,482,000 $-33,975,000
2017 $2,931,104,000 $2,853,111,000 $2,763,968,000 $44,062,000 $216,624,000 $-118,199,000 $19,066,000