Recent Annual Filings for HAFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,570,341,000 $369,328,000 $254,747,000 $97,098,000 $107,799,000 $52,098,000 $-50,097,000
2022 $7,378,262,000 $273,813,000 $133,086,000 $20,852,000 $147,308,000 $477,654,000 $-256,544,000
2021 $6,858,587,000 $216,675,000 $81,181,000 $87,158,000 $93,729,000 $570,426,000 $217,116,000
2020 $6,201,888,000 $223,866,000 $164,371,000 $41,890,000 $60,203,000 $617,555,000 $270,171,000
2019 $5,538,184,000 $246,772,000 $199,424,000 $42,249,000 $58,796,000 $-47,949,000 $-33,698,000
2018 $5,502,219,000 $234,397,000 $150,427,000 $53,675,000 $76,635,000 $236,482,000 $1,550,000
2017 $5,210,485,000 $209,321,000 $114,037,000 $55,185,000 $79,864,000 $445,119,000 $6,591,000
2016 $4,701,346,000 $178,471,000 $89,083,000 $54,410,000 $54,383,000 $419,974,000 $-17,129,000