Recent Annual Filings for HGBL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $83,168,000 $60,545,000 $47,285,000 $12,475,000 $13,021,000 $2,460,000 $-388,000
2022 $67,560,000 $46,914,000 $42,772,000 $15,493,000 $6,483,000 $78,000 $-955,000
2021 $50,464,000 $25,792,000 $22,699,000 $3,053,000 $-2,631,000 $3,065,000 $-9,763,000
2020 $44,555,000 $26,183,000 $23,920,000 $9,658,000 $9,148,000 $7,001,000 $20,657,000