Recent Annual Filings for HEI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,592,822,000 $3,857,669,000 $3,033,214,000 $573,675,000 $672,370,000 $-389,393,000 $-8,945,000
2023 $7,195,063,000 $2,968,105,000 $2,342,766,000 $451,403,000 $448,735,000 $2,065,049,000 $31,544,000
2022 $4,095,496,000 $2,208,322,000 $1,711,478,000 $350,978,000 $467,856,000 $-33,833,000 $31,206,000
2021 $3,498,407,000 $1,865,682,000 $1,472,782,000 $330,293,000 $444,084,000 $-558,968,000 $-298,554,000
2020 $3,547,711,000 $1,787,009,000 $1,410,361,000 $343,792,000 $409,125,000 $137,743,000 $349,851,000
2019 $2,969,211,000 $2,055,647,000 $1,598,550,000 $358,033,000 $437,378,000 $-159,720,000 $-2,598,000
2018 $2,653,396,000 $1,777,721,000 $1,401,476,000 $280,359,000 $328,487,000 $-207,535,000 $7,533,000
2017 $2,512,431,000 $1,524,813,000 $1,218,155,000 $223,356,000 $274,885,000 $175,872,000 $9,111,000