Recent Annual Filings for HOLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $9,139,300,000 $4,030,400,000 $3,354,300,000 $546,600,000 $1,051,200,000 $-483,200,000 $416,200,000
2022 $9,071,200,000 $4,862,800,000 $3,274,600,000 $1,122,900,000 $2,125,700,000 $-756,000,000 $1,169,200,000
2021 $8,919,900,000 $5,632,300,000 $3,271,200,000 $1,860,300,000 $2,330,400,000 $-529,800,000 $469,300,000
2020 $7,195,800,000 $3,776,400,000 $2,774,500,000 $1,103,100,000 $896,600,000 $-659,900,000 $99,200,000
2019 $6,442,100,000 $3,367,300,000 $3,625,000,000 $-220,400,000 $649,500,000 $-431,500,000 $-64,900,000
2018 $7,230,900,000 $3,217,900,000 $3,636,500,000 $-120,600,000 $732,900,000 $-404,800,000 $126,100,000
2017 $7,979,600,000 $3,058,800,000 $1,828,300,000 $771,600,000 $8,300,000 $-309,200,000 $-7,800,000
2016 $7,317,000,000 $2,832,700,000 $2,417,400,000 $313,000,000 $787,200,000 $-659,700,000 $57,100,000