
HAFR
Data as of Jan 16, 2026
| Item | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|
| Cash And Cash Equivalents At Start Of Year | 31.14 M | -209.54 K | -3.80 M | -1.44 M |
| Net Cash From Operating Activities | 307.11 M | 370.11 M | 5.61 M | 46.38 M |
| Net Cash (Used In) Financing Activities | -329.17 M | -339.19 M | -1.40 M | -24.12 M |
| Net Cash (Used In) Investing Activities | -3.09 M | 431.65 K | -627.00 K | -24.62 M |
| Total Cash Flow | 6.00 M | 31.14 M | -209.54 K | -3.80 M |
Calculate investment returns based on past performance
Note, past performance is not indicative of futture performance