Recent Annual Filings for HFBL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $637,512,000 $1,109,000 $-2,960,000 $3,632,000 $2,318,000 $-26,619,000 $10,183,000
2023 $660,915,000 $1,477,000 $-5,293,000 $4,749,000 $12,105,000 $63,896,000 $-39,313,000
2022 $590,480,000 $1,147,000 $-4,853,000 $2,899,000 $17,059,000 $21,407,000 $-40,327,000
2021 $565,731,000 $991,000 $-5,819,000 $4,725,000 $8,332,000 $42,622,000 $49,534,000
2020 $518,220,000 $1,020,000 $-3,787,000 $4,745,000 $200,000 $69,073,000 $36,763,000
2019 $442,453,000 $19,846,000 $13,820,000 $5,809,000 $4,858,000 $14,874,000 $2,241,000
2018 $421,650,000 $18,423,000 $12,603,000 $2,874,000 $13,104,000 $-8,381,000 $3,962,000
2017 $426,606,000 $16,892,000 $11,482,000 $3,216,000 $3,375,000 $40,757,000 $7,149,000