Recent Annual Filings for HOV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,605,574,000 $3,004,918,000 $2,741,462,000 $242,008,000 $23,640,000 $-187,926,000 $-210,758,000
2023 $2,492,940,000 $2,756,016,000 $2,517,587,000 $205,891,000 $435,275,000 $-261,711,000 $95,329,000
2022 $2,562,030,000 $2,922,231,000 $2,624,716,000 $225,490,000 $89,466,000 $-16,520,000 $70,794,000
2021 $2,320,508,000 $2,782,857,000 $2,598,097,000 $607,817,000 $210,213,000 $-217,273,000 $1,936,000
2020 $1,827,342,000 $2,343,901,000 $2,318,400,000 $50,928,000 $292,828,000 $-167,774,000 $127,194,000
2019 $1,881,424,000 $2,016,916,000 $2,043,080,000 $-42,117,000 $-249,127,000 $206,708,000 $-50,726,000
2018 $1,662,042,000 $1,991,233,000 $1,999,584,000 $4,520,000 $-66,822,000 $-229,429,000 $-260,750,000
2017 $1,900,898,000 $2,451,665,000 $2,455,008,000 $-332,193,000 $297,553,000 $-147,843,000 $122,555,000