Recent Annual Filings for HLI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,819,708,000 $2,389,416,000 $1,858,081,000 $403,038,000 $848,609,000 $-329,070,000 $253,725,000
2024 $3,170,759,000 $1,914,404,000 $1,523,865,000 $276,507,000 $328,458,000 $-250,585,000 $7,042,000
2023 $2,968,814,000 $1,809,447,000 $1,485,447,000 $234,756,000 $136,273,000 $-240,462,000 $-119,258,000
2022 $2,886,810,000 $2,269,958,000 $1,666,020,000 $414,580,000 $736,604,000 $-459,060,000 $-13,154,000
2021 $2,426,067,000 $1,525,452,000 $1,116,224,000 $335,703,000 $579,837,000 $-26,823,000 $466,478,000
2020 $1,677,003,000 $1,159,368,000 $923,721,000 $170,979,000 $287,669,000 $-152,139,000 $94,631,000
2019 $1,423,058,000 $1,084,385,000 $860,065,000 $142,768,000 $224,274,000 $-236,138,000 $-14,108,000
2018 $1,418,841,000 $963,364,000 $745,528,000 $180,244,000 $250,647,000 $-225,311,000 $-192,463,000