Recent Annual Filings for HRMY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $999,200,000 $714,734,000 $522,930,000 $145,557,000 $219,821,000 $-10,996,000 $141,341,000
2023 $811,448,000 $582,022,000 $408,626,000 $129,006,000 $219,387,000 $-105,552,000 $67,396,000
2022 $673,870,000 $437,855,000 $333,169,000 $181,317,000 $144,466,000 $6,841,000 $9,475,000
2021 $433,443,000 $305,440,000 $268,012,000 $34,597,000 $98,557,000 $7,419,000 $5,678,000
2020 $427,074,000 $159,742,000 $196,686,000 $-36,944,000 $-2,985,000 $209,161,000 $204,174,000