Recent Annual Filings for HLF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,809,400,000 $5,062,400,000 $4,859,400,000 $160,400,000 $357,500,000 $-148,300,000 $79,200,000
2022 $2,732,000,000 $5,204,400,000 $4,779,600,000 $282,900,000 $352,500,000 $-264,700,000 $-94,100,000
2021 $2,819,800,000 $5,802,800,000 $5,242,000,000 $417,600,000 $460,300,000 $-728,600,000 $-443,600,000
2020 $3,076,100,000 $5,541,800,000 $5,025,400,000 $402,900,000 $628,600,000 $-320,900,000 $206,500,000
2019 $2,678,600,000 $4,877,100,000 $4,425,700,000 $308,300,000 $457,500,000 $-713,000,000 $-367,500,000
2018 $2,789,800,000 $4,891,800,000 $4,427,600,000 $252,200,000 $648,400,000 $-593,100,000 $-80,500,000
2017 $2,895,100,000 $4,427,700,000 $3,956,500,000 $253,600,000 $590,800,000 $-85,200,000 $434,800,000
2016 $2,565,400,000 $4,488,400,000 $4,123,700,000 $220,400,000 $367,300,000 $-252,300,000 $-45,800,000