Recent Annual Filings for HURC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $268,643,000 $186,584,000 $196,434,000 $-12,522,000 $-2,519,000 $-3,909,000 $-9,167,000
2023 $290,589,000 $227,807,000 $221,053,000 $5,710,000 $-12,821,000 $-8,822,000 $-23,540,000
2022 $306,237,000 $250,814,000 $238,936,000 $-11,558,000 $-3,966,000 $-6,903,000 $-12,961,000
2021 $332,935,000 $235,195,000 $225,074,000 $8,013,000 $32,175,000 $-3,521,000 $26,204,000
2020 $295,655,000 $170,627,000 $181,430,000 $-304,000 $10,932,000 $-10,851,000 $916,000
2019 $301,065,000 $263,377,000 $240,053,000 $18,425,000 $-6,413,000 $-5,152,000 $-20,227,000
2018 $315,407,000 $300,671,000 $268,175,000 $19,817,000 $21,012,000 $-2,553,000 $10,863,000
2017 $281,645,000 $243,667,000 $222,951,000 $17,968,000 $30,372,000 $-2,351,000 $25,090,000