Recent Annual Filings for HFFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $549,991,000 $1,201,667,000 $1,247,804,000 $-48,102,000 $22,636,000 $-10,853,000 $-765,000
2023 $596,520,000 $1,148,493,000 $1,151,114,000 $-2,662,000 $15,804,000 $-23,347,000 $-9,057,000
2022 $637,529,000 $1,170,467,000 $1,170,463,000 $235,000 $31,284,000 $28,999,000 $9,497,000
2021 $596,946,000 $796,884,000 $769,560,000 $22,821,000 $17,509,000 $28,784,000 $5,211,000
2020 $484,285,083 $566,831,075 $914,343,605 $-342,680,799 $44,131,286 $45,322,727 $-4,957,433
2019 $802,843,794 $388,162,281 $380,069,903 $5,895,286 $4,666,528 $1,607,239 $9,048,882
2018 $82,476,407 $291,006,698 $282,162,748 $6,353,695 $11,953,466 $-6,184,793 $-596,640