Recent Annual Filings for HALO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,063,477,000 $1,015,324,000 $463,849,000 $457,198,000 $479,064,000 $-218,861,000 $-2,520,000
2023 $1,733,270,000 $829,253,000 $491,679,000 $273,238,000 $388,571,000 $-407,987,000 $-116,325,000
2022 $1,841,511,000 $660,116,000 $392,585,000 $201,827,000 $240,110,000 $362,371,000 $115,476,000
2021 $1,104,429,000 $443,310,000 $167,408,000 $402,068,000 $299,440,000 $77,865,000 $-28,984,000
2020 $579,924,000 $267,594,000 $123,339,000 $128,867,000 $55,454,000 $-106,284,000 $27,524,000
2019 $565,874,000 $195,992,000 $263,602,000 $-71,723,000 $-85,423,000 $153,215,000 $62,243,000
2018 $440,248,000 $151,862,000 $221,192,000 $-80,157,000 $-49,500,000 $-63,797,000 $-110,804,000
2017 $519,945,000 $316,613,000 $235,611,000 $62,527,000 $134,053,000 $131,655,000 $101,976,000