Symbol: HASI Sector: Real Estate Industry: REITs
Update: 2019-06-09 17:40:01
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2019-03-31 |
30,719,000 |
32,893,000 |
15,430,000 |
17,463,000 |
10,531,000 |
6,932,000 |
13,647,000 |
1,344,216,000 |
2,186,870,000 |
1,344,809,000 |
838,647,000 |
- |
- |
62,091,000 |
- |
- |
- |
- |
Update: 2019-06-09 17:40:01
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2018-12-31 |
37,377,000 |
39,191,000 |
19,450,000 |
19,741,000 |
11,801,000 |
7,940,000 |
9,055,000 |
1,331,448,000 |
2,154,913,000 |
1,350,390,000 |
801,100,000 |
59,353,000 |
- |
21,418,000 |
- |
-37,587,000 |
28,998,000 |
- |
2018-09-30 |
33,396,000 |
34,883,000 |
19,681,000 |
15,202,000 |
9,360,000 |
5,842,000 |
16,483,000 |
1,493,600,000 |
2,295,114,000 |
1,648,500,000 |
643,100,000 |
96,940,000 |
- |
34,423,000 |
- |
-13,191,000 |
15,276,000 |
- |
2018-06-30 |
34,520,000 |
35,826,000 |
19,033,000 |
16,793,000 |
9,870,000 |
6,923,000 |
17,262,000 |
1,395,192,000 |
2,218,007,000 |
1,571,611,000 |
642,887,000 |
110,131,000 |
- |
41,812,000 |
- |
-6,426,000 |
9,172,000 |
- |
2018-03-31 |
26,587,000 |
27,908,000 |
18,711,000 |
9,197,000 |
8,122,000 |
1,075,000 |
-1,223,000 |
1,388,747,000 |
2,220,715,000 |
1,593,763,000 |
623,474,000 |
116,557,000 |
- |
47,150,000 |
- |
-1,620,000 |
5,347,000 |
- |
Update: 2019-06-09 17:40:01
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2017-12-31 |
29,364,000 |
27,096,000 |
18,744,000 |
8,351,000 |
7,044,000 |
-45,420,000 |
3,384,000 |
57,274,000 |
2,250,172,000 |
1,607,391,000 |
639,184,000 |
118,177,000 |
- |
57,274,000 |
- |
-41,307,000 |
-9,741,000 |
- |