Recent Annual Filings for HTH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,466,996,000 $838,375,000 $689,256,000 $130,005,000 $443,023,000 $-332,515,000 $268,846,000
2022 $16,259,282,000 $591,116,000 $434,989,000 $-4,018,000 $1,189,448,000 $-1,709,510,000 $-1,397,364,000
2021 $18,689,080,000 $529,973,000 $25,901,000 $358,114,000 $765,622,000 $1,479,612,000 $1,691,960,000
2020 $16,944,264,000 $546,495,000 $-17,857,000 $476,021,000 $280,436,000 $1,257,744,000 $710,514,000
2019 $15,172,448,000 $614,829,000 $314,520,000 $253,023,000 $-433,023,000 $901,638,000 $-135,677,000
2018 $13,683,572,000 $579,428,000 $418,651,000 $120,095,000 $389,540,000 $4,633,000 $104,506,000
2017 $13,365,786,000 $507,156,000 $263,870,000 $132,265,000 $-326,303,000 $480,882,000 $-203,382,000
2016 $12,738,062,000 $455,954,000 $224,549,000 $145,800,000 $-183,348,000 $698,228,000 $21,319,000