Recent Annual Filings for HASI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,552,350,000 $319,871,000 $137,493,000 $174,282,000 $99,689,000 $1,792,224,000 $-100,890,000
2022 $4,760,148,000 $239,737,000 $190,445,000 $21,377,000 $230,000 $516,779,000 $-75,101,000
2021 $4,148,311,000 $213,166,000 $68,662,000 $124,599,000 $13,309,000 $630,835,000 $-59,258,000
2020 $3,459,067,000 $186,907,000 $106,927,000 $92,133,000 $73,282,000 $962,115,000 $203,745,000
2019 $2,387,274,000 $141,581,000 $51,564,000 $86,926,000 $29,489,000 $218,885,000 $47,233,000
2018 $2,154,913,000 $137,808,000 $93,866,000 $41,176,000 $58,793,000 $-168,417,000 $-58,824,000
2017 $2,250,172,000 $105,573,000 $73,653,000 $31,077,000 $11,717,000 $345,196,000 $59,033,000
2016 $1,745,887,000 $81,198,000 $66,301,000 $15,276,000 $56,855,000 $113,704,000 $-20,072,000