Recent Annual Filings for HCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,811,316,000 $550,670,000 $433,020,000 $96,218,000 $230,658,000 $67,117,000 $302,002,000
2022 $1,803,328,000 $499,563,000 $567,981,000 $-65,375,000 $-12,000 $41,067,000 $-393,580,000
2021 $1,176,857,000 $407,915,000 $396,682,000 $6,174,000 $96,503,000 $64,301,000 $197,602,000
2020 $941,313,000 $310,437,000 $273,509,000 $26,946,000 $77,311,000 $-16,705,000 $203,823,000
2019 $802,609,000 $242,474,000 $206,381,000 $30,207,000 $54,047,000 $-114,724,000 $-10,240,000
2018 $832,863,000 $231,292,000 $204,390,000 $14,890,000 $28,595,000 $-27,288,000 $-16,535,000
2017 $842,264,000 $244,406,000 $260,030,000 $-4,970,000 $16,426,000 $39,030,000 $-24,647,000
2016 $670,064,000 $264,446,000 $217,590,000 $33,455,000 $87,975,000 $-26,157,000 $12,793,000