Recent Annual Filings for HNI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,875,100,000 $2,526,400,000 $2,347,100,000 $141,900,000 $226,700,000 $-182,200,000 $-6,500,000
2023 $1,928,800,000 $2,434,000,000 $2,369,200,000 $46,600,000 $267,500,000 $188,800,000 $11,500,000
2022 $1,414,500,000 $2,361,800,000 $2,215,400,000 $122,600,000 $81,200,000 $-105,400,000 $-34,900,000
2020 $1,418,032,000 $1,955,363,000 $1,900,978,000 $40,839,000 $214,469,000 $-50,050,000 $64,047,000
2019 $1,452,512,000 $2,246,947,000 $2,104,233,000 $106,029,000 $219,380,000 $-181,231,000 $-24,746,000
2018 $1,401,844,000 $2,257,895,000 $2,139,170,000 $93,338,000 $186,430,000 $-91,739,000 $53,471,000
2017 $1,391,550,000 $2,175,882,000 $2,105,270,000 $91,287,000 $133,149,000 $-28,089,000 $-12,964,000
2016 $1,330,234,000 $2,203,489,000 $2,074,578,000 $85,824,000 $223,362,000 $-62,572,000 $7,764,000