Recent Annual Filings for HCC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,591,516,000 $1,525,220,000 $1,270,330,000 $250,603,000 $367,448,000 $-68,511,000 $-239,065,000
2023 $2,357,058,000 $1,676,625,000 $1,135,219,000 $478,629,000 $701,108,000 $-265,184,000 $-91,283,000
2022 $2,028,095,000 $1,738,738,000 $937,314,000 $641,298,000 $841,904,000 $-153,119,000 $433,641,000
2021 $1,464,211,000 $1,059,216,000 $815,463,000 $150,881,000 $351,543,000 $-96,474,000 $183,923,000
2020 $1,393,936,000 $782,738,000 $809,877,000 $-35,761,000 $112,626,000 $14,096,000 $18,533,000
2019 $1,344,264,000 $1,268,309,000 $884,917,000 $301,699,000 $532,814,000 $-411,623,000 $-13,022,000
2018 $1,395,040,000 $1,378,007,000 $869,720,000 $696,787,000 $559,396,000 $-281,626,000 $170,141,000
2017 $993,315,000 $1,169,092,000 $745,691,000 $455,046,000 $434,512,000 $-458,279,000 $-116,392,000