Recent Annual Filings for HLIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,505,400,000 $805,900,000 $755,400,000 $18,800,000 $122,100,000 $-78,400,000 $11,700,000
2023 $1,590,400,000 $835,600,000 $786,400,000 $41,500,000 $83,900,000 $57,900,000 $-11,300,000
2022 $1,463,700,000 $885,400,000 $763,600,000 $88,000,000 $109,900,000 $-6,900,000 $15,200,000
2020 $1,296,979,000 $523,040,000 $498,993,000 $35,242,000 $108,556,000 $137,741,000 $3,095,000
2019 $1,021,751,000 $554,665,000 $479,358,000 $51,157,000 $90,480,000 $-71,743,000 $-1,353,000