Recent Annual Filings for HYPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $58,901,000 $12,890,000 $53,610,000 $-40,720,000 $-38,767,000 $1,019,000 $-38,131,000
2023 $94,199,000 $11,032,000 $55,270,000 $-44,238,000 $-41,809,000 $174,000 $-42,439,000
2022 $134,051,000 $6,814,000 $79,978,000 $-73,164,000 $-72,339,000 $7,000 $-72,917,000
2021 $202,473,000 $1,496,000 $66,347,000 $-64,851,000 $-47,182,000 $176,767,000 $126,874,000