Recent Annual Filings for HUSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,401,795 $560,180 $8,776,292 $-8,216,112 $-1,536,515 $2,325,000 $-1,099,031
2023 $10,379,009 $794,027 $4,005,304 $-3,211,277 $263,191 $1,652,000 $-488,028
2022 $11,731,183 $1,638,841 $894,562 $-744,279 $-228,962 $1,543,000 $-347,367
2021 $10,733,853 $1,330,198 $2,351,728 $-1,021,530 $-680,691 $4,570,888 $3,652,017
2020 $6,842,421 $552,345 $4,589,419 $-4,037,074 $-864,787 $3,581,217 $1,144,645
2019 $7,068,835 $997,992 $3,513,686 $-2,515,694 $-725,019 $966,560 $-647,787
2018 $7,822,771 $2,356,660 $2,607,996 $-251,336 $360,792 $508,255 $363,640
2017 $7,560,318 $630,392 $2,668,006 $-2,037,614 $-1,716,847 $6,040,193 $-89,110