Recent Annual Filings for HNVR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,312,110,000 $133,022,000 $116,643,000 $13,462,000 $5,899,000 $25,568,000 $-14,350,000
2023 $2,149,535,000 $105,043,000 $84,856,000 $14,462,000 $16,401,000 $282,636,000 $42,677,000
2022 $1,840,058,000 $68,429,000 $37,934,000 $22,680,000 $25,049,000 $332,500,000 $-16,597,000