Recent Annual Filings for HNNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $152,099,000 $29,646,000 $19,942,000 $7,097,000 $9,277,000 $-4,528,000 $3,446,000
2023 $145,719,000 $24,020,000 $17,420,000 $4,771,000 $7,134,000 $-4,326,000 $1,989,000
2022 $143,652,000 $29,667,000 $21,721,000 $6,190,000 $8,665,000 $34,217,000 $42,651,000
2021 $101,905,000 $32,760,000 $21,879,000 $7,902,000 $10,386,000 $-4,256,000 $5,881,000
2020 $94,786,000 $33,389,000 $22,428,000 $7,841,000 $10,623,000 $-24,473,000 $-14,732,000
2019 $110,208,000 $42,715,000 $27,440,000 $11,031,000 $14,392,000 $-13,126,000 $-708,000
2018 $109,480,000 $54,590,000 $31,197,000 $20,615,000 $21,531,000 $-7,941,000 $9,695,000
2017 $97,927,000 $52,955,000 $29,706,000 $14,942,000 $19,193,000 $-6,583,000 $12,165,000