Recent Annual Filings for HR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,637,131,000 $1,343,769,000 $1,625,852,000 $-295,108,000 $499,820,000 $-884,222,000 $-35,262,000
2022 $13,849,631,000 $932,637,000 $891,740,000 $52,850,000 $272,747,000 $-1,859,325,000 $47,786,000
2021 $4,258,919,000 $534,817,000 $468,158,000 $74,510,000 $232,629,000 $327,716,000 $-2,128,000
2020 $3,812,260,000 $499,629,000 $427,434,000 $60,538,000 $470,089,000 $99,723,000 $14,646,000
2019 $3,563,855,000 $470,298,000 $431,113,000 $33,912,000 $213,138,000 $197,666,000 $-7,724,000
2018 $3,191,247,000 $450,389,000 $380,618,000 $70,168,000 $208,355,000 $-101,162,000 $2,166,000
2017 $3,193,585,000 $424,499,000 $401,403,000 $23,194,000 $179,766,000 $31,390,000 $-48,292,000
2016 $3,040,647,000 $411,630,000 $325,874,000 $85,739,000 $151,272,000 $136,957,000 $50,405,000