Recent Annual Filings for HIW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,029,355,000 $825,862,000 $721,608,000 $104,005,000 $403,584,000 $-99,041,000 $2,108,000
2023 $6,002,928,000 $833,997,000 $682,667,000 $150,544,000 $386,962,000 $-205,426,000 $11,850,000
2022 $6,063,376,000 $828,929,000 $664,971,000 $163,720,000 $421,779,000 $187,927,000 $-5,093,000
2021 $5,695,138,000 $768,007,000 $444,697,000 $323,799,000 $414,558,000 $-284,926,000 $-158,046,000
2020 $5,209,417,000 $736,900,000 $378,986,000 $356,923,000 $358,160,000 $-294,340,000 $174,502,000
2019 $5,138,244,000 $735,979,000 $594,296,000 $131,299,000 $365,797,000 $246,209,000 $4,599,000
2018 $4,675,009,000 $990,419,000 $512,799,000 $179,705,000 $358,628,000 $-130,069,000 $-78,190,000
2017 $4,623,791,000 $702,737,000 $572,635,000 $194,552,000 $352,532,000 $-142,528,000 $-46,218,000