Recent Annual Filings for HP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,781,898,000 $2,756,607,000 $2,304,708,000 $345,796,000 $684,663,000 $986,507,000 $1,212,422,000
2023 $4,381,956,000 $2,872,421,000 $2,310,532,000 $438,191,000 $833,682,000 $-463,869,000 $47,229,000
2022 $4,355,531,000 $2,058,944,000 $2,013,652,000 $15,125,000 $233,913,000 $-734,305,000 $-667,707,000
2021 $5,034,128,000 $1,218,568,000 $1,647,117,000 $-320,206,000 $136,440,000 $425,523,000 $399,969,000
2020 $4,829,621,000 $1,773,927,000 $2,394,114,000 $-492,050,000 $538,881,000 $-297,220,000 $153,776,000
2019 $5,839,515,000 $2,798,490,000 $2,777,908,000 $-45,531,000 $855,751,000 $-376,329,000 $56,786,000
2018 $6,214,867,000 $2,487,268,000 $2,455,666,000 $496,922,000 $544,531,000 $-309,189,000 $-237,020,000
2017 $6,439,988,000 $1,804,741,000 $1,977,282,000 $-125,708,000 $357,217,000 $-296,415,000 $-384,186,000