Recent Annual Filings for HNST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $247,393,000 $378,340,000 $384,389,000 $-6,124,000 $1,541,000 $41,597,000 $42,608,000
2023 $201,621,000 $344,365,000 $383,528,000 $-39,206,000 $19,353,000 $122,000 $23,310,000
2022 $240,599,000 $313,651,000 $362,560,000 $-49,010,000 $-76,275,000 $38,000 $-41,274,000
2021 $272,597,000 $318,639,000 $357,241,000 $-38,814,000 $-38,154,000 $60,368,000 $13,591,000