Recent Annual Filings for HUBG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,868,343,000 $3,946,390,000 $3,813,844,000 $101,716,000 $194,419,000 $-201,326,000 $-60,233,000
2023 $2,936,047,000 $4,202,585,000 $3,993,381,000 $167,613,000 $422,158,000 $-148,409,000 $-99,412,000
2022 $2,810,081,000 $5,340,490,000 $4,872,532,000 $356,941,000 $458,163,000 $-52,459,000 $126,832,000
2021 $2,437,294,000 $4,232,383,000 $4,001,473,000 $171,458,000 $252,835,000 $-7,412,000 $35,278,000
2020 $2,105,396,000 $3,495,644,000 $3,399,544,000 $73,554,000 $174,954,000 $-22,295,000 $-44,223,000
2019 $1,991,574,000 $3,668,117,000 $3,524,247,000 $107,167,000 $254,509,000 $-81,095,000 $107,294,000
2018 $1,924,898,000 $3,683,593,000 $3,566,868,000 $201,752,000 $210,839,000 $31,551,000 $32,878,000
2017 $1,670,941,000 $4,034,897,000 $3,943,960,000 $135,232,000 $125,220,000 $11,066,000 $-98,847,000