Recent Annual Filings for HBCP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,443,668,000 $184,767,000 $139,584,000 $37,827,000 $48,731,000 $81,092,000 $22,717,000
2023 $3,320,122,000 $163,663,000 $113,517,000 $48,165,000 $41,356,000 $41,329,000 $-11,570,000
2022 $3,228,280,000 $125,930,000 $83,428,000 $-5,979,000 $51,199,000 $-69,889,000 $-514,042,000
2021 $2,938,244,000 $106,902,000 $46,463,000 $44,091,000 $55,715,000 $302,846,000 $413,491,000
2020 $2,591,850,000 $104,129,000 $73,322,000 $29,347,000 $49,030,000 $359,111,000 $148,105,000
2019 $2,200,465,000 $102,208,000 $68,416,000 $30,830,000 $43,938,000 $8,620,000 $-19,771,000
2018 $2,153,658,000 $102,312,000 $64,027,000 $30,545,000 $47,128,000 $-113,243,000 $-90,800,000
2017 $2,228,120,838 $74,397,848 $45,080,971 $15,857,359 $24,751,277 $17,677,049 $121,103,088