Recent Annual Filings for HWC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $35,081,785,000 $1,692,991,000 $1,119,018,000 $475,850,000 $625,742,000 $-886,790,000 $13,708,000
2023 $35,578,573,000 $1,620,497,000 $1,130,369,000 $543,657,000 $495,249,000 $-203,295,000 $-3,257,000
2022 $35,183,825,000 $1,137,063,000 $477,867,000 $-194,158,000 $842,021,000 $-1,341,121,000 $163,258,000
2021 $36,531,205,000 $982,258,000 $414,202,000 $329,211,000 $585,690,000 $2,513,789,000 $-125,105,000
2020 $33,638,602,000 $1,057,981,000 $1,182,726,000 $89,619,000 $355,191,000 $2,916,483,000 $94,202,000
2019 $30,600,757,000 $1,125,782,000 $733,043,000 $453,365,000 $351,949,000 $155,805,000 $48,732,000
2018 $28,235,907,000 $1,028,268,000 $646,152,000 $277,463,000 $449,184,000 $394,142,000 $-3,576,000