Recent Annual Filings for HURN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,343,617,000 $1,521,805,000 $1,352,986,000 $105,685,000 $201,319,000 $-111,635,000 $9,762,000
2023 $1,262,142,000 $1,398,755,000 $1,273,407,000 $67,187,000 $135,262,000 $-98,327,000 $315,000
2022 $1,199,040,000 $1,158,961,000 $1,059,201,000 $76,831,000 $85,400,000 $-74,108,000 $-8,947,000
2021 $1,119,349,000 $926,958,000 $846,922,000 $66,766,000 $17,987,000 $-44,410,000 $-46,396,000
2020 $1,057,476,000 $871,014,000 $904,887,000 $-25,715,000 $136,738,000 $-39,615,000 $55,573,000
2019 $1,104,271,000 $965,474,000 $912,983,000 $40,184,000 $132,220,000 $-118,836,000 $-21,503,000
2018 $1,049,532,000 $877,999,000 $852,778,000 $19,771,000 $101,658,000 $-66,690,000 $16,198,000
2017 $1,036,928,000 $807,745,000 $1,030,249,000 $-163,362,000 $99,795,000 $28,821,000 $-118,000