Recent Annual Filings for HRTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,468,924,000 $816,985,000 $734,309,000 $68,185,000 $87,095,000 $-5,190,000 $-9,694,000
2023 $2,153,200,000 $735,498,000 $683,493,000 $63,641,000 $70,415,000 $14,546,000 $185,767,000
2022 $2,392,600,000 $662,460,000 $828,630,000 $-203,375,000 $-34,260,000 $-5,058,000 $-77,180,000
2021 $1,980,762,000 $631,561,000 $707,595,000 $-85,357,000 $60,130,000 $-17,281,000 $-81,631,000
2020 $2,089,379,000 $593,385,000 $591,172,000 $8,053,000 $170,211,000 $-28,898,000 $163,375,000
2019 $1,939,670,000 $511,305,000 $470,309,000 $42,493,000 $119,657,000 $-45,434,000 $20,638,000
2018 $1,768,713,000 $480,171,000 $441,177,000 $23,850,000 $95,428,000 $-31,953,000 $87,840,000
2017 $1,771,210,000 $406,623,000 $412,515,000 $835,000 $7,566,000 $47,556,000 $47,880,000