Recent Annual Filings for HOPE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,054,008,000 $953,980,000 $821,016,000 $76,496,000 $116,722,000 $-2,054,008,000 $-1,470,768,000
2023 $19,131,522,000 $1,048,878,000 $870,991,000 $159,792,000 $473,777,000 $-341,469,000 $1,422,191,000
2022 $19,164,491,000 $716,115,000 $420,067,000 $-1,168,000 $485,535,000 $1,178,601,000 $190,510,000
2021 $17,889,061,000 $566,532,000 $291,260,000 $160,407,000 $324,211,000 $634,516,000 $-34,313,000
2020 $17,106,664,000 $598,878,000 $456,587,000 $135,119,000 $165,916,000 $1,320,728,000 $-347,988,000
2019 $15,667,440,000 $684,786,000 $458,436,000 $212,894,000 $183,855,000 $91,929,000 $238,961,000
2018 $15,305,952,000 $650,172,000 $394,691,000 $178,384,000 $219,947,000 $895,124,000 $-32,394,000
2017 $14,206,717,000 $572,104,000 $308,270,000 $135,918,000 $203,921,000 $618,080,000 $54,666,000