Recent Annual Filings for HOFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $313,942,000 $397,465,000 $413,891,000 $-12,668,000 $-23,016,000 $-11,149,000 $-36,864,000
2024 $343,586,000 $433,226,000 $420,788,000 $9,734,000 $55,471,000 $-22,756,000 $24,157,000
2023 $381,716,000 $583,102,000 $589,251,000 $-3,396,000 $-21,718,000 $1,319,000 $-50,364,000
2022 $374,559,000 $593,612,000 $578,506,000 $12,475,000 $19,209,000 $-8,822,000 $3,525,000
2021 $352,273,000 $540,081,000 $554,649,000 $-10,521,000 $68,263,000 $-37,977,000 $29,810,000
2020 $393,708,000 $610,824,000 $588,897,000 $16,123,000 $41,429,000 $-12,579,000 $24,596,000
2019 $369,716,000 $683,501,000 $631,911,000 $39,752,000 $9,662,000 $-24,631,000 $-19,480,000
2018 $349,716,000 $620,632,000 $574,860,000 $28,132,000 $27,746,000 $-140,000 $-8,877,000