Recent Annual Filings for HLMN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,330,503,000 $1,472,595,000 $1,446,043,000 $3,419,000 $183,336,000 $-39,268,000 $5,957,000
2023 $2,331,101,000 $1,476,477,000 $1,483,859,000 $-16,385,000 $238,035,000 $-161,976,000 $7,472,000
2022 $2,470,690,000 $1,486,328,000 $1,500,995,000 $-10,306,000 $119,011,000 $-28,722,000 $16,476,000
2021 $2,562,922,000 $1,425,967,000 $1,476,083,000 $-36,098,000 $-110,254,000 $193,329,000 $-6,915,000