Recent Annual Filings for HGTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,709,338,000 $1,200,038,000 $1,133,620,000 $72,719,000 $177,024,000 $-46,922,000 $-491,431,000
2023 $1,588,212,000 $1,000,213,000 $989,805,000 $28,683,000 $133,706,000 $103,161,000 $185,085,000
2022 $1,312,518,000 $787,588,000 $855,154,000 $3,268,000 $55,328,000 $-28,084,000 $-64,781,000
2021 $1,041,871,000 $619,079,000 $629,149,000 $-61,127,000 $42,281,000 $332,071,000 $304,894,000