Recent Annual Filings for HBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,640,314,000 $5,636,523,000 $5,661,615,000 $1,971,000 $561,749,000 $-580,075,000 $-32,912,000
2022 $6,503,876,000 $6,233,650,000 $5,880,912,000 $-87,609,000 $-358,802,000 $295,829,000 $-322,216,000
2020 $7,698,874,000 $6,664,350,000 $6,847,472,000 $-24,890,000 $448,469,000 $142,169,000 $580,680,000
2019 $7,353,986,000 $6,966,923,000 $6,287,196,000 $557,755,000 $803,432,000 $-824,010,000 $-125,809,000
2018 $7,255,958,000 $6,803,955,000 $6,157,074,000 $489,348,000 $643,402,000 $-200,497,000 $34,166,000
2017 $6,894,775,000 $6,471,410,000 $5,934,140,000 $58,679,000 $655,718,000 $-585,768,000 $-38,679,000
2016 $6,907,734,000 $6,028,199,000 $5,457,000,000 $498,324,000 $605,607,000 $511,054,000 $141,076,000
2014 $5,221,781,000 $5,324,746,000 $4,859,778,000 $268,947,000 $508,090,000 $-23,765,000 $123,992,000