Recent Annual Filings for HAYW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,990,624,000 $1,051,606,000 $907,424,000 $99,991,000 $212,068,000 $-136,790,000 $18,492,000
2023 $2,946,284,000 $992,452,000 $891,365,000 $77,746,000 $184,540,000 $-7,612,000 $121,920,000
2022 $2,875,013,000 $1,314,136,000 $1,079,899,000 $185,713,000 $115,944,000 $-229,240,000 $-209,619,000
2021 $2,978,470,000 $1,401,794,000 $1,141,653,000 $207,817,000 $189,387,000 $10,957,000 $150,502,000