Recent Annual Filings for HLNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,271,200,000 $553,842,000 $272,181,000 $227,207,000 $120,852,000 $4,399,000 $3,067,000
2023 $1,140,543,000 $528,753,000 $286,143,000 $187,185,000 $226,589,000 $-364,146,000 $40,355,000
2022 $1,294,946,000 $367,919,000 $54,243,000 $247,253,000 $169,523,000 $-113,216,000 $-14,180,000
2021 $1,136,519,000 $341,635,000 $148,433,000 $168,915,000 $188,158,000 $270,660,000 $37,167,000
2020 $473,529,000 $274,048,000 $133,304,000 $126,617,000 $116,373,000 $-64,709,000 $1,620,000
2019 $360,591,000 $252,179,000 $122,622,000 $99,012,000 $111,622,000 $-90,210,000 $2,207,000
2018 $293,795,000 $244,033,000 $104,403,000 $107,219,000 $96,692,000 $-59,671,000 $15,248,000