Recent Annual Filings for HCKT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $191,877,000 $313,855,000 $269,267,000 $28,804,000 $47,729,000 $-41,662,000 $-4,553,000
2023 $181,428,000 $296,590,000 $247,328,000 $35,797,000 $37,401,000 $-42,565,000 $-9,265,000
2022 $184,993,000 $293,742,000 $238,494,000 $36,394,000 $58,904,000 $-69,736,000 $-15,488,000
2021 $207,541,000 $278,809,000 $232,333,000 $40,640,000 $46,353,000 $-46,739,000 $-3,628,000
2019 $193,735,000 $282,472,000 $251,134,000 $24,121,000 $42,361,000 $-24,697,000 $12,086,000
2018 $180,752,000 $285,887,000 $252,313,000 $21,024,000 $32,411,000 $-26,556,000 $-3,704,000
2017 $185,231,000 $285,862,000 $255,040,000 $30,394,000 $26,509,000 $-11,178,000 $-2,198,000
2016 $159,299,000 $288,561,000 $254,008,000 $17,964,000 $32,889,000 $-33,499,000 $-3,793,000