Recent Annual Filings for HFWA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,174,957,000 $284,465,000 $211,550,000 $89,129,000 $109,523,000 $105,306,000 $121,383,000
2022 $6,980,100,000 $227,457,000 $128,021,000 $-27,371,000 $94,456,000 $-506,379,000 $-1,619,702,000
2021 $7,432,412,000 $212,831,000 $92,324,000 $82,413,000 $69,530,000 $746,677,000 $979,970,000
2020 $6,615,318,000 $214,320,000 $161,140,000 $61,210,000 $70,331,000 $982,972,000 $514,754,000
2019 $5,552,970,000 $217,850,000 $136,805,000 $85,390,000 $87,614,000 $99,470,000 $66,658,000
2018 $5,316,927,000 $199,359,000 $135,272,000 $46,993,000 $82,447,000 $78,082,000 $58,895,000
2017 $4,113,270,000 $147,880,000 $87,733,000 $43,317,000 $73,513,000 $167,151,000 $-730,000
2016 $3,878,981,000 $138,512,000 $85,791,000 $33,753,000 $53,980,000 $176,051,000 $-22,895,000