Recent Annual Filings for HTBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,645,006,000 $3,561,000 $-53,113,000 $45,153,000 $38,971,000 $410,405,000 $559,994,000
2023 $5,194,095,000 $4,341,000 $-86,078,000 $68,569,000 $73,010,000 $-41,666,000 $101,526,000
2022 $5,157,580,000 $4,640,000 $-89,726,000 $60,695,000 $69,853,000 $-399,979,000 $-999,613,000
2021 $5,499,409,000 $2,488,000 $-63,382,000 $47,421,000 $56,849,000 $815,125,000 $175,143,000
2020 $4,634,114,000 $3,650,000 $-45,418,000 $34,360,000 $58,086,000 $470,025,000 $673,703,000
2019 $4,109,463,000 $4,510,000 $-51,802,000 $43,064,000 $50,343,000 $-28,780,000 $292,802,000
2018 $3,096,562,000 $4,113,000 $-44,542,000 $32,202,000 $48,572,000 $-277,882,000 $-151,654,000
2017 $2,843,452,000 $106,911,000 $56,612,000 $23,509,000 $41,358,000 $246,052,000 $50,119,000