Recent Annual Filings for HBIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $126,644,000 $94,135,000 $105,800,000 $-13,885,000 $1,440,000 $-131,000 $-35,000
2023 $137,366,000 $112,250,000 $114,806,000 $-2,553,000 $14,028,000 $-12,134,000 $95,000
2022 $145,360,000 $113,335,000 $122,514,000 $-14,541,000 $1,152,000 $-2,837,000 $-3,275,000
2021 $162,344,000 $118,904,000 $119,044,000 $2,751,000 $1,262,000 $-252,000 $-335,000
2020 $156,254,000 $102,100,000 $109,392,000 $-8,187,000 $9,331,000 $-7,967,000 $-38,000
2019 $164,870,000 $116,176,000 $121,678,000 $-3,844,000 $8,045,000 $-7,624,000 $192,000
2018 $168,613,000 $120,774,000 $128,749,000 $-5,778,000 $2,884,000 $53,053,000 $2,440,000
2017 $109,354,000 $101,882,000 $103,970,000 $5,117,000 $1,057,000 $-1,792,000 $137,000