Recent Annual Filings for HUBS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,795,833,000 $2,627,543,000 $2,598,866,000 $-2,853,000 $598,599,000 $53,495,000 $136,233,000
2023 $3,071,392,000 $2,170,230,000 $2,327,932,000 $-161,578,000 $350,971,000 $37,011,000 $53,216,000
2022 $2,544,738,000 $1,730,969,000 $1,835,661,000 $-124,300,000 $273,174,000 $7,428,000 $-39,056,000
2021 $2,174,854,000 $1,300,658,000 $1,374,476,000 $-83,779,000 $238,728,000 $-51,469,000 $7,751,000
2020 $1,973,366,000 $883,026,000 $963,841,000 $-80,092,000 $88,913,000 $222,460,000 $95,806,000
2019 $1,569,268,000 $674,860,000 $725,633,000 $-53,359,000 $118,973,000 $359,342,000 $162,121,000
2018 $833,953,000 $512,980,000 $574,940,000 $-64,494,000 $84,851,000 $12,778,000 $26,399,000
2017 $712,175,000 $375,612,000 $425,651,000 $-38,907,000 $49,614,000 $376,806,000 $27,978,000