Recent Annual Filings for HRB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,218,810,000 $3,610,347,000 $2,805,070,000 $583,571,000 $720,860,000 $-564,311,000 $59,877,000
2023 $3,072,258,000 $3,472,185,000 $2,723,487,000 $538,246,000 $821,841,000 $-750,992,000 $-35,397,000
2022 $3,269,158,000 $3,463,270,000 $2,718,373,000 $531,941,000 $808,537,000 $-1,257,346,000 $-533,451,000
2021 $3,653,646,000 $3,413,987,000 $2,644,360,000 $640,153,000 $625,928,000 $-2,408,823,000 $-1,810,100,000
2020 $5,112,047,000 $2,639,720,000 $2,562,637,000 $-38,686,000 $108,961,000 $1,531,848,000 $1,165,293,000
2019 $3,299,945,000 $3,094,881,000 $2,479,089,000 $416,396,000 $606,538,000 $-403,695,000 $44,049,000
2018 $3,140,949,000 $3,159,931,000 $2,407,881,000 $614,145,000 $850,003,000 $-190,664,000 $546,139,000
2017 $2,694,108,000 $3,036,314,000 $2,320,330,000 $404,879,000 $550,093,000 $-530,424,000 $114,530,000