Recent Annual Filings for HAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $24,683,000,000 $23,018,000,000 $18,935,000,000 $2,561,000,000 $3,458,000,000 $-1,671,000,000 $128,000,000
2022 $23,255,000,000 $20,297,000,000 $17,590,000,000 $1,548,000,000 $2,242,000,000 $-1,798,000,000 $-523,000,000
2021 $22,321,000,000 $15,295,000,000 $13,495,000,000 $1,647,000,000 $1,911,000,000 $-838,000,000 $481,000,000
2020 $20,680,000,000 $14,445,000,000 $16,881,000,000 $-2,942,000,000 $1,881,000,000 $-1,007,000,000 $295,000,000
2019 $25,377,000,000 $22,408,000,000 $22,856,000,000 $-1,137,000,000 $2,445,000,000 $-695,000,000 $260,000,000
2018 $25,982,000,000 $23,995,000,000 $21,528,000,000 $1,771,000,000 $3,157,000,000 $-1,419,000,000 $-329,000,000
2017 $25,085,000,000 $20,620,000,000 $19,258,000,000 $-483,000,000 $2,468,000,000 $-2,161,000,000 $-1,672,000,000
2016 $27,000,000,000 $15,887,000,000 $22,665,000,000 $-5,860,000,000 $-1,703,000,000 $-3,540,000,000 $-6,068,000,000