Recent Annual Filings for HPK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,063,288,000 $1,069,414,000 $728,208,000 $95,069,000 $690,391,000 $-177,414,000 $-107,866,000
2023 $3,080,791,000 $1,111,293,000 $676,569,000 $215,866,000 $756,389,000 $533,557,000 $164,011,000
2022 $2,279,482,000 $755,686,000 $333,122,000 $236,854,000 $504,014,000 $674,029,000 $-4,365,000
2021 $818,960,000 $220,124,000 $118,277,000 $55,559,000 $147,015,000 $118,673,000 $15,317,000
2020 $537,930,000 $24,623,000 $53,804,000 $-101,463,000 $1,311,000 $135,355,000 $-3,159,000