Recent Annual Filings for FHB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,828,186,000 $808,541,000 $515,939,000 $296,345,000 $317,513,000 $-1,435,772,000 $-569,707,000
2023 $24,926,474,000 $836,942,000 $527,768,000 $344,027,000 $255,026,000 $-66,925,000 $1,213,273,000
2022 $24,577,223,000 $793,074,000 $441,863,000 $-251,876,000 $430,614,000 $-197,359,000 $-731,845,000
2021 $24,992,410,000 $715,475,000 $366,479,000 $112,438,000 $417,125,000 $2,176,719,000 $217,525,000
2020 $22,662,831,000 $733,114,000 $489,390,000 $249,107,000 $209,506,000 $2,241,184,000 $346,927,000
2019 $20,166,734,000 $765,935,000 $384,237,000 $384,838,000 $296,504,000 $-981,336,000 $-309,620,000
2018 $20,695,678,000 $745,311,000 $387,133,000 $248,650,000 $351,413,000 $-124,611,000 $-31,007,000
2017 $20,549,461,000 $570,768,000 $202,413,000 $175,310,000 $269,774,000 $683,893,000 $-17,414,000