Recent Annual Filings for HWKN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $769,867,000 $974,431,000 $860,048,000 $82,962,000 $111,096,000 $14,806,000 $-2,050,000
2024 $657,934,000 $919,162,000 $818,017,000 $75,538,000 $159,499,000 $-37,408,000 $-413,000
2023 $590,535,000 $935,098,000 $852,516,000 $61,690,000 $77,400,000 $-32,100,000 $4,070,000
2022 $567,328,000 $774,541,000 $704,562,000 $52,833,000 $42,837,000 $7,417,000 $498,000
2021 $472,550,000 $596,871,000 $541,020,000 $41,059,000 $43,793,000 $26,360,000 $-1,279,000
2020 $389,328,000 $540,198,000 $501,242,000 $27,971,000 $58,902,000 $-39,621,000 $-4,922,000
2019 $385,599,000 $556,326,000 $522,796,000 $24,154,000 $47,990,000 $-31,438,000 $4,209,000
2018 $390,991,000 $504,169,000 $519,245,000 $-8,879,000 $27,349,000 $-9,881,000 $-1,871,000