Recent Annual Filings for HCWB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $30,236,578 $2,566,792 $32,590,606 $-30,023,814 $-14,227,428 $15,568,516 $1,079,471
2023 $28,513,660 $2,841,794 $27,836,071 $-24,994,277 $-22,514,121 $-14,534 $-18,731,255
2022 $46,809,155 $6,722,090 $21,622,793 $-14,900,703 $-10,386,110 $6,273,397 $10,595,679
2021 $53,514,829 $-12,862,468 $-10,975,717 $49,269,475 $3,274,843