Recent Annual Filings for HPP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,132,239,000 $842,082,000 $1,221,847,000 $-389,915,000 $164,657,000 $65,903,000 $-19,979,000
2023 $8,282,050,000 $952,297,000 $1,116,201,000 $-159,795,000 $232,256,000 $-866,672,000 $-166,575,000
2022 $9,319,140,000 $1,026,224,000 $866,538,000 $-26,174,000 $369,501,000 $97,448,000 $88,855,000
2021 $8,990,189,000 $896,835,000 $867,823,000 $35,479,000 $314,863,000 $486,681,000 $47,336,000
2020 $8,350,202,000 $804,965,000 $788,535,000 $8,797,000 $302,032,000 $796,094,000 $91,282,000
2019 $7,466,568,000 $818,182,000 $762,336,000 $37,668,000 $288,011,000 $18,465,000 $-9,933,000
2018 $7,070,879,000 $728,418,000 $616,637,000 $115,839,000 $214,626,000 $144,618,000 $-33,089,000
2017 $6,622,070,000 $728,139,000 $633,578,000 $101,959,000 $292,959,000 $33,167,000 $-6,912,000