Recent Annual Filings for HQI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $94,013,000 $34,598,000 $30,452,000 $3,672,000 $12,039,000 $-11,206,000 $877,000
2023 $103,826,000 $37,882,000 $30,102,000 $6,135,000 $10,621,000 $-5,244,000 $-1,707,000
2022 $103,283,000 $30,952,000 $17,082,000 $12,458,000 $16,878,000 $8,489,000 $1,793,000
2021 $77,351,567 $22,759,793 $10,271,795 $11,849,934 $17,381,558 $-347,173 $-12,411,914
2020 $49,095,042 $13,809,125 $7,708,673 $5,359,414 $10,880,328 $-1,436,715 $9,479,984
2019 $46,912,062 $15,876,460 $12,900,937 $-289,979 $4,957,813 $-11,874,585 $2,896,133