Recent Annual Filings for HSY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,946,861,000 $11,202,263,000 $8,728,327,000 $2,147,427,000 $2,531,596,000 $-1,296,501,000 $328,844,000
2023 $11,902,941,000 $11,164,992,000 $8,993,128,000 $1,884,042,000 $2,323,190,000 $-1,148,251,000 $-61,987,000
2022 $10,948,820,000 $10,419,294,000 $8,502,223,000 $1,641,699,000 $2,327,837,000 $-1,415,725,000 $134,623,000
2021 $10,412,231,000 $8,971,337,000 $7,174,113,000 $1,576,935,000 $2,082,884,000 $-681,136,000 $-826,155,000
2020 $9,131,845,000 $8,149,719,000 $6,654,722,000 $1,262,351,000 $1,699,657,000 $-499,228,000 $662,159,000
2019 $8,140,395,000 $7,986,252,000 $6,605,468,000 $1,179,733,000 $1,763,873,000 $-1,081,455,000 $-94,736,000
2018 $7,703,020,000 $7,791,069,000 $6,381,008,000 $1,126,846,000 $1,599,993,000 $116,108,000 $207,819,000
2017 $5,553,726,000 $7,515,426,000 $6,404,758,000 $819,519,000 $1,249,515,000 $-843,768,000 $83,212,000