Recent Annual Filings for HSII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,141,591,000 $1,041,182,000 $965,825,000 $58,728,000 $-26,792,000 $-53,528,000 $57,129,000
2022 $1,175,638,000 $1,083,586,000 $968,350,000 $73,622,000 $119,288,000 $-15,685,000 $-189,770,000
2021 $1,106,798,000 $1,008,474,000 $902,445,000 $70,830,000 $271,401,000 $-15,517,000 $228,770,000
2020 $787,812,000 $629,370,000 $660,768,000 $-38,114,000 $23,353,000 $-16,402,000 $44,770,000
2019 $844,173,000 $725,614,000 $656,325,000 $46,631,000 $78,645,000 $-18,240,000 $-8,543,000
2018 $700,629,000 $735,655,000 $665,163,000 $46,131,000 $102,902,000 $-16,988,000 $72,100,000
2017 $587,204,000 $640,056,000 $669,474,000 $-38,642,000 $66,970,000 $-17,060,000 $42,523,000
2016 $581,502,000 $600,906,000 $563,140,000 $9,476,000 $24,823,000 $-20,092,000 $-25,441,000