Recent Annual Filings for HRL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,434,729,000 $11,920,797,000 $10,885,363,000 $813,941,000 $1,266,738,000 $-1,030,096,000 $5,349,000
2023 $13,448,772,000 $12,110,010,000 $11,096,538,000 $776,045,000 $1,047,847,000 $-600,064,000 $-245,575,000
2022 $13,306,919,000 $12,458,806,000 $11,180,703,000 $1,021,153,000 $1,134,977,000 $-486,684,000 $368,577,000
2021 $12,696,329,000 $11,386,189,000 $10,260,019,000 $1,027,520,000 $1,001,934,000 $1,520,520,000 $-1,100,779,000
2020 $9,908,282,000 $9,608,462,000 $8,493,715,000 $912,956,000 $1,128,024,000 $566,172,000 $1,041,406,000
2019 $8,109,004,000 $9,497,317,000 $8,287,602,000 $876,673,000 $922,996,000 $-926,244,000 $213,765,000
2018 $8,142,292,000 $9,545,700,000 $8,364,416,000 $1,016,934,000 $1,241,729,000 $11,638,000 $15,014,000
2017 $6,975,908,000 $9,167,519,000 $7,888,874,000 $895,353,000 $1,010,196,000 $-389,258,000 $28,979,000