Recent Annual Filings for HBB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $415,067,000 $654,693,000 $621,317,000 $32,849,000 $65,415,000 $-20,948,000 $30,145,000
2023 $384,702,000 $625,625,000 $593,929,000 $26,493,000 $88,636,000 $-70,072,000 $14,474,000
2022 $388,950,000 $640,949,000 $608,520,000 $27,592,000 $-3,418,000 $5,575,000 $-368,000
2021 $382,504,000 $658,394,000 $629,437,000 $24,539,000 $17,857,000 $-7,266,000 $-1,319,000
2020 $391,168,000 $603,713,000 $569,981,000 $44,914,000 $-34,127,000 $34,180,000 $-3,728,000
2019 $303,240,000 $612,843,000 $578,450,000 $-2,200,000 $4,155,000 $959,000 $812,000
2018 $278,149,000 $743,179,000 $715,150,000 $19,746,000 $11,824,000 $-9,255,000 $-4,554,000
2017 $268,585,000 $740,749,000 $704,672,000 $20,302,000 $33,440,000 $-26,602,000 $-434,000