Recent Annual Filings for HSIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,218,000,000 $12,673,000,000 $12,160,000,000 $201,000,000 $848,000,000 $-510,000,000 $-92,000,000
2023 $10,573,000,000 $12,339,000,000 $11,797,000,000 $468,000,000 $500,000,000 $701,000,000 $66,000,000
2022 $8,607,000,000 $12,647,000,000 $11,926,000,000 $497,000,000 $602,000,000 $-315,000,000 $-1,000,000
2021 $8,481,091,000 $12,401,021,000 $11,570,473,000 $591,304,000 $709,580,000 $-332,957,000 $-303,220,000
2020 $7,772,532,000 $10,119,141,000 $9,619,246,000 $475,199,000 $598,910,000 $-187,185,000 $315,088,000
2019 $7,151,101,000 $9,985,803,000 $9,305,496,000 $705,280,000 $654,087,000 $-215,980,000 $28,128,000
2018 $8,500,527,000 $13,201,995,000 $12,506,647,000 $429,426,000 $684,706,000 $-603,776,000 $-94,449,000
2017 $7,811,235,000 $12,461,543,000 $11,638,695,000 $654,380,000 $545,515,000 $-112,551,000 $112,277,000