Recent Annual Filings for HSTM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $499,942,000 $279,063,000 $263,044,000 $15,503,000 $63,970,000 $-13,039,000 $-5,690,000
2022 $497,741,000 $266,826,000 $254,377,000 $11,004,000 $51,188,000 $-23,702,000 $-882,000
2021 $486,753,000 $256,712,000 $248,657,000 $5,950,000 $42,385,000 $-6,209,000 $10,339,000
2020 $500,313,000 $244,826,000 $229,008,000 $14,088,000 $35,874,000 $-20,494,000 $-94,972,000
2019 $489,544,000 $254,112,000 $239,392,000 $15,797,000 $65,657,000 $-916,000 $-2,783,000
2018 $441,948,000 $231,616,000 $216,125,000 $32,232,000 $43,246,000 $-30,251,000 $49,553,000
2017 $411,074,000 $247,662,000 $237,862,000 $10,017,000 $46,712,000 $1,000 $35,134,000
2016 $396,000,000 $225,974,000 $220,407,000 $3,774,000 $24,234,000 $46,000 $-32,376,000