Recent Annual Filings for HXL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,725,600,000 $1,903,000,000 $1,748,100,000 $91,200,000 $289,900,000 $-301,700,000 $-101,600,000
2023 $2,918,500,000 $1,789,000,000 $1,679,300,000 $206,000,000 $257,100,000 $-92,600,000 $115,000,000
2022 $2,837,300,000 $1,577,700,000 $1,427,900,000 $78,400,000 $173,100,000 $-130,000,000 $-15,700,000
2021 $2,819,400,000 $1,324,700,000 $1,302,700,000 $-50,800,000 $151,700,000 $-96,800,000 $24,400,000
2020 $2,917,800,000 $1,502,400,000 $1,530,100,000 $90,800,000 $264,300,000 $-178,500,000 $38,900,000
2019 $3,128,600,000 $2,355,700,000 $1,976,000,000 $295,900,000 $491,100,000 $-91,400,000 $31,700,000
2018 $2,824,100,000 $2,189,100,000 $1,855,600,000 $212,000,000 $421,400,000 $-257,300,000 $-27,400,000
2017 $2,780,900,000 $1,973,300,000 $1,650,100,000 $413,400,000 $428,700,000 $-58,300,000 $24,900,000