Recent Annual Filings for HOOD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,187,000,000 $2,951,000,000 $1,887,000,000 $1,413,000,000 $-157,000,000 $-345,000,000 $-651,000,000
2023 $32,332,000,000 $1,865,000,000 $2,398,000,000 $-544,000,000 $1,181,000,000 $-610,000,000 $-11,000,000
2022 $23,337,000,000 $1,358,000,000 $2,385,000,000 $-1,029,000,000 $-852,000,000 $913,000,000 $1,000,000
2021 $19,769,179,000 $1,815,143,000 $5,499,575,000 $-3,686,500,000 $-884,773,000 $5,203,421,000 $4,080,700,000