Recent Annual Filings for HBT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,032,902,000 $251,700,000 $154,317,000 $82,178,000 $89,372,000 $-125,278,000 $-3,560,000
2023 $5,073,170,000 $228,999,000 $140,418,000 $80,438,000 $65,829,000 $-171,399,000 $27,093,000
2022 $4,286,734,000 $153,054,000 $76,864,000 $-16,774,000 $72,586,000 $-32,572,000 $-295,109,000
2021 $4,314,254,000 $128,223,000 $51,661,000 $39,589,000 $43,100,000 $403,326,000 $96,817,000
2020 $3,666,567,000 $124,065,000 $74,492,000 $47,166,000 $31,255,000 $377,675,000 $28,480,000
2019 $3,245,103,000 $143,735,000 $71,614,000 $78,985,000 $89,092,000 $-107,340,000 $97,092,000