Recent Annual Filings for HY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,029,200,000 $4,308,200,000 $4,089,200,000 $101,500,000 $170,700,000 $-100,100,000 $23,000,000
2023 $2,079,100,000 $4,118,300,000 $3,937,300,000 $180,000,000 $150,700,000 $-100,500,000 $15,700,000
2022 $2,026,200,000 $3,548,300,000 $3,610,700,000 $-115,500,000 $40,600,000 $-10,900,000 $-5,700,000
2021 $1,970,100,000 $3,075,700,000 $3,230,600,000 $-252,400,000 $-253,500,000 $193,600,000 $-85,900,000
2020 $1,859,500,000 $2,812,100,000 $2,769,900,000 $94,100,000 $166,900,000 $-40,600,000 $86,800,000
2019 $1,847,200,000 $3,291,800,000 $3,243,900,000 $29,300,000 $76,700,000 $-51,600,000 $-19,100,000
2018 $1,742,100,000 $3,174,400,000 $3,137,800,000 $-24,300,000 $67,600,000 $-87,600,000 $-136,400,000
2017 $1,647,900,000 $2,885,200,000 $2,791,400,000 $112,200,000 $164,700,000 $53,100,000 $176,900,000