Recent Annual Filings for DHIL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $245,126,650 $151,095,131 $92,084,140 $43,177,918 $16,598,852 $-52,478,119 $-5,367,275
2023 $232,094,348 $136,716,371 $78,140,943 $43,085,548 $34,669,124 $-46,666,923 $-16,203,423
2022 $249,821,410 $154,496,019 $103,537,474 $36,870,762 $39,482,635 $-62,871,597 $-17,355,091
2021 $286,153,403 $182,193,837 $80,554,483 $75,589,539 $26,312,237 $-71,504,545 $-17,927,809
2020 $263,097,341 $126,387,718 $74,264,712 $38,165,138 $59,772,485 $-62,882,236 $5,301,949
2019 $272,663,950 $136,624,380 $58,181,587 $59,754,319 $56,966,243 $-59,075,123 $8,746,194
2018 $325,727,843 $145,627,748 $80,644,019 $46,314,388 $28,130,591 $-16,041,743 $7,827,951
2017 $250,388,319 $145,201,729 $64,182,770 $51,601,669 $60,919,759 $-22,953,708 $19,412,232