Recent Annual Filings for HYAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $250,043,147 $11,323,538 $-419,849 $315,000
2023 $238,104,379 $4,701,033 $-805,213 $233,311,188 $205,975
2021 $318,033,409 $11,112,910 $-1,370,775 $318,999,539 $128,765
2019 $405,374,549 $2,997,981 $-646,044 $401,462,970 $816,926
2018 $336,985,369 $397,028 $-902,437 $-902,437
2017 $331,798,493 $336,347 $-216,812 $331,340,633 $1,123,821