Recent Annual Filings for HROWL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $388,971,000 $199,614,000 $216,934,000 $-17,481,000 $-22,202,000 $28,528,000 $-26,838,000
2023 $312,164,000 $130,193,000 $153,903,000 $-24,411,000 $3,840,000 $126,528,000 $-22,185,000
2022 $157,378,000 $88,595,000 $102,606,000 $-14,086,000 $1,705,000 $54,141,000 $54,103,000
2021 $98,329,000 $72,476,000 $90,350,000 $-18,007,000 $5,082,000 $51,470,000 $37,866,000