Recent Annual Filings for HMN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,487,800,000 $1,595,200,000 $1,466,600,000 $163,300,000 $452,100,000 $-307,900,000 $8,400,000
2023 $14,049,900,000 $1,491,900,000 $1,438,600,000 $130,400,000 $302,100,000 $-207,800,000 $-13,100,000
2022 $13,446,800,000 $1,382,900,000 $1,394,800,000 $-648,800,000 $171,500,000 $-47,800,000 $-90,900,000
2021 $14,383,900,000 $1,330,100,000 $1,155,200,000 $68,200,000 $204,900,000 $208,500,000 $111,400,000
2020 $13,471,813,000 $1,310,441,000 $1,150,858,000 $268,754,000 $259,794,000 $143,778,000 $-3,185,000
2019 $12,478,704,000 $1,430,485,000 $1,194,036,000 $319,368,000 $127,573,000 $-169,913,000 $13,602,000
2018 $11,031,896,000 $1,191,599,000 $1,172,062,000 $-183,861,000 $200,888,000 $-10,110,000 $4,279,000
2017 $11,198,340,000 $1,171,550,000 $1,082,863,000 $244,598,000 $256,586,000 $-36,965,000 $-9,043,000