Recent Annual Filings for HMST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,123,698,000 $402,573,000 $523,085,000 $-144,686,000 $-45,921,000 $-1,096,663,000 $190,936,000
2023 $9,392,450,000 $399,743,000 $432,500,000 $-14,837,000 $8,024,000 $-349,236,000 $142,836,000
2022 $9,364,760,000 $304,288,000 $219,628,000 $-54,130,000 $218,328,000 $2,443,434,000 $7,614,000
2021 $7,204,091,000 $244,295,000 $97,606,000 $101,205,000 $173,035,000 $-40,232,000 $7,165,000
2020 $7,237,091,000 $252,012,000 $150,118,000 $111,026,000 $-25,545,000 $258,336,000 $169,000
2019 $6,812,435,000 $277,606,000 $228,898,000 $39,352,000 $258,830,000 $-343,462,000 $-706,000
2018 $7,042,221,000 $270,702,000 $224,837,000 $31,710,000 $286,011,000 $263,862,000 $-15,323,000
2017 $6,742,041,000 $171,494,000 $72,236,000 $160,568,000 $414,407,000 $18,786,000