Recent Annual Filings for HDSN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $302,652,000 $237,118,000 $205,091,000 $24,388,000 $91,811,000 $-8,153,000 $57,688,000
2023 $296,672,000 $289,025,000 $219,205,000 $52,247,000 $58,547,000 $-47,816,000 $7,151,000
2022 $272,493,000 $325,225,000 $208,043,000 $103,801,000 $62,815,000 $-57,353,000 $1,803,000
2021 $215,715,000 $192,748,000 $159,349,000 $32,259,000 $-1,228,000 $5,294,000 $2,144,000
2020 $161,649,000 $147,605,000 $153,005,000 $-5,208,000 $11,687,000 $-12,469,000 $-1,252,000
2019 $180,153,000 $162,059,000 $187,343,000 $-25,940,000 $33,821,000 $-32,482,000 $328,000
2018 $228,341,000 $166,525,000 $223,888,000 $-55,659,000 $36,331,000 $-37,969,000 $-2,730,000
2017 $321,444,000 $140,380,000 $128,376,000 $11,157,000 $18,366,000 $162,696,000 $-28,929,000