Recent Annual Filings for HWBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,825,185,000 $95,351,000 $49,524,000 $19,575,000 $25,593,000 $-69,303,000 $-42,456,000
2023 $1,875,350,000 $91,968,000 $91,536,000 $18,908,000 $17,609,000 $-62,071,000 $9,730,000
2022 $1,923,540,000 $69,256,000 $44,167,000 $-14,256,000 $20,279,000 $110,067,000 $-76,189,000
2021 $1,831,550,000 $64,454,000 $36,240,000 $24,282,000 $30,612,000 $76,869,000 $-20,454,000
2020 $1,733,731,000 $62,985,000 $45,509,000 $19,576,000 $20,151,000 $220,786,000 $102,242,000
2019 $1,492,962,000 $63,970,000 $44,033,000 $18,458,000 $19,091,000 $389,000 $36,038,000
2018 $1,481,682,000 $57,779,000 $45,397,000 $10,277,000 $16,302,000 $41,477,000 $-20,795,000
2017 $1,429,216,000 $50,935,000 $39,619,000 $2,771,000 $12,479,000 $137,329,000 $36,883,000