Recent Annual Filings for HGV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $8,685,000,000 $3,978,000,000 $3,365,000,000 $291,000,000 $312,000,000 $183,000,000 $330,000,000
2022 $8,004,000,000 $3,835,000,000 $3,224,000,000 $391,000,000 $747,000,000 $-782,000,000 $-140,000,000
2021 $8,008,000,000 $2,335,000,000 $1,945,000,000 $176,000,000 $168,000,000 $1,636,000,000 $169,000,000
2020 $3,134,000,000 $894,000,000 $1,139,000,000 $-201,000,000 $79,000,000 $328,000,000 $374,000,000
2019 $3,079,000,000 $1,838,000,000 $1,523,000,000 $216,000,000 $145,000,000 $-108,000,000 $-28,000,000
2018 $2,753,000,000 $1,999,000,000 $1,565,000,000 $298,000,000 $-159,000,000 $104,000,000 $-117,000,000
2017 $2,384,000,000 $1,711,000,000 $1,374,000,000 $326,777,744 $356,000,000 $-123,000,000 $146,000,000