Recent Annual Filings for HII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,215,000,000 $11,454,000,000 $10,601,000,000 $858,000,000 $970,000,000 $-771,000,000 $-37,000,000
2022 $10,857,000,000 $10,676,000,000 $9,957,000,000 $903,000,000 $766,000,000 $-658,000,000 $-160,000,000
2021 $10,627,000,000 $9,524,000,000 $8,902,000,000 $1,168,000,000 $760,000,000 $1,309,000,000 $115,000,000
2020 $8,157,000,000 $9,361,000,000 $8,551,000,000 $558,000,000 $1,093,000,000 $103,000,000 $437,000,000
2019 $7,031,000,000 $8,899,000,000 $8,216,000,000 $428,000,000 $896,000,000 $-434,000,000 $-165,000,000
2018 $6,383,000,000 $8,176,000,000 $7,205,000,000 $661,000,000 $914,000,000 $-899,000,000 $-461,000,000
2017 $6,374,000,000 $7,441,000,000 $6,669,000,000 $530,000,000 $814,000,000 $-484,000,000 $-19,000,000
2016 $6,352,000,000 $7,068,000,000 $6,284,000,000 $467,000,000 $822,000,000 $-343,000,000 $-174,000,000