Recent Annual Filings for HONE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,753,133,000 $271,408,000 $237,151,000 $21,134,000 $3,840,000 $76,579,000 $3,721,000
2023 $5,667,896,000 $244,288,000 $219,163,000 $19,537,000 $53,508,000 $272,538,000 $129,333,000
2022 $5,359,545,000 $171,930,000 $110,201,000 $144,000 $68,899,000 $786,417,000 $-96,702,000
2021 $4,553,405,000 $143,895,000 $63,443,000 $54,695,000 $224,295,000 $5,605,000 $-11,151,000
2020 $4,483,615,000 $148,558,000 $90,549,000 $45,497,000 $-26,952,000 $340,058,000 $-5,746,000
2019 $4,058,921,000 $154,784,000 $132,108,000 $22,106,000 $-36,127,000 $371,056,000 $106,095,000