Recent Annual Filings for HL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,981,060,000 $929,925,000 $863,709,000 $19,699,000 $218,277,000 $-83,824,000 $-78,418,000
2023 $3,011,104,000 $720,227,000 $803,222,000 $-80,828,000 $75,499,000 $156,330,000 $537,000
2022 $2,927,172,000 $718,905,000 $763,819,000 $-6,444,000 $89,890,000 $-7,500,000 $269,663,000
2021 $2,728,808,000 $807,473,000 $801,947,000 $39,528,000 $220,337,000 $-32,598,000 $80,710,000
2020 $2,667,724,000 $691,873,000 $708,528,000 $-12,369,000 $180,793,000 $-19,379,000 $68,513,000
2019 $2,637,308,000 $673,266,000 $796,924,000 $-94,398,000 $120,866,000 $33,189,000 $35,063,000
2018 $2,703,944,000 $567,137,000 $600,401,000 $-44,370,000 $94,221,000 $-14,884,000 $-158,725,000
2017 $2,364,957,000 $577,775,000 $581,415,000 $-12,290,000 $115,878,000 $-5,248,000 $16,330,000