Recent Annual Filings for HVT.A

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $648,747,000 $722,899,000 $696,746,000 $20,070,000 $58,909,000 $-28,741,000 $-1,463,000
2023 $654,133,000 $862,133,000 $789,422,000 $56,092,000 $97,203,000 $-46,294,000 $-2,153,000
2022 $649,049,000 $1,047,215,000 $927,714,000 $90,895,000 $51,015,000 $-65,622,000 $-42,932,000
2021 $686,290,000 $1,012,799,000 $894,264,000 $91,070,000 $97,242,000 $-97,149,000 $-33,909,000
2020 $680,372,000 $748,252,000 $671,521,000 $58,675,000 $130,191,000 $-71,180,000 $124,369,000
2019 $560,072,000 $802,291,000 $773,567,000 $21,243,000 $63,419,000 $-46,255,000 $2,593,000
2018 $440,179,000 $817,733,000 $777,325,000 $30,986,000 $70,392,000 $-59,217,000 $-7,797,000
2017 $461,329,000 $819,866,000 $776,643,000 $20,761,000 $52,457,000 $-14,839,000 $16,010,000