Recent Annual Filings for HOG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,881,579,000 $5,186,802,000 $4,770,175,000 $417,431,000 $1,063,833,000 $-572,315,000 $92,043,000
2023 $12,140,554,000 $5,836,478,000 $5,057,394,000 $732,013,000 $754,887,000 $-174,646,000 $69,634,000
2022 $11,492,476,000 $5,755,130,000 $4,845,852,000 $638,204,000 $548,461,000 $-201,967,000 $-446,042,000
2021 $11,051,055,000 $5,336,308,000 $4,512,869,000 $892,522,000 $975,701,000 $-1,884,931,000 $-1,383,949,000
2020 $12,010,601,000 $4,054,377,000 $4,044,698,000 $54,830,000 $1,177,890,000 $1,373,983,000 $2,503,802,000
2019 $10,528,159,000 $5,361,789,000 $4,806,181,000 $516,370,000 $868,272,000 $-712,223,000 $-354,382,000
2018 $10,665,664,000 $5,716,875,000 $5,003,352,000 $510,164,000 $1,205,921,000 $-14,763,000 $513,538,000
2017 $9,972,672,000 $5,647,224,000 $4,755,961,000 $587,091,000 $1,005,061,000 $-541,803,000 $-72,463,000