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HIPO.WS HIPPO HOLDINGS INC C/WTS (TO PUR COM)

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  • 0.0210
  • 0.00000.00%
Close May 20 16:00 ET
0Market Cap0.00P/E (TTM)

HIPPO HOLDINGS INC C/WTS (TO PUR COM) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
149.58%17.7M
42.79%-92.4M
-61.13%-48.5M
102.56%1.1M
68.79%-9.3M
39.08%-35.7M
-29.72%-161.5M
-467.92%-30.1M
14.00%-43M
44.51%-29.8M
Net income from continuing operations
51.40%-33.1M
19.45%-263M
35.04%-39.3M
60.55%-50.3M
-46.25%-105.3M
-2.41%-68.1M
11.25%-326.5M
-2.02%-60.5M
-326.42%-127.5M
14.08%-72M
Operating gains losses
50.00%1.5M
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--1M
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Other non cash items
-33.33%-2.4M
0.00%-2.9M
90.38%-500K
-333.33%-1.3M
187.50%700K
-152.94%-1.8M
91.57%-2.9M
-67.74%-5.2M
99.33%-300K
-123.53%-800K
Change in working capital
168.75%34.4M
150.13%93.3M
-312.12%-28M
218.69%34.1M
197.60%74.4M
210.34%12.8M
-14.65%37.3M
-65.54%13.2M
663.16%10.7M
304.92%25M
-Change in receivables
52.99%-25.9M
18.12%-61M
-48.97%22.4M
137.93%28.6M
-341.10%-56.9M
17.27%-55.1M
56.84%-74.5M
272.03%43.9M
-64.63%-75.4M
145.21%23.6M
-Change in prepaid assets
456.80%60.3M
67.18%-25.7M
581.93%40M
99.21%-300K
-77.01%-48.5M
-284.09%-16.9M
23.39%-78.3M
-137.14%-8.3M
-16.46%-38.2M
30.28%-27.4M
-Change in loss and loss adjustment expense reserves
23.68%14.1M
-13.03%28.7M
-35.02%-37.4M
-114.61%-7.7M
558.82%62.4M
-47.22%11.4M
-78.81%33M
-231.28%-27.7M
18.43%52.7M
-149.82%-13.6M
-Change in payables and accrued expense
-106.54%-3.1M
-29.42%47.5M
-817.02%-43.1M
-142.27%-13.4M
18,766.67%56.6M
18.50%47.4M
-38.09%67.3M
-571.43%-4.7M
12.81%31.7M
-98.70%300K
-Change in unearned premiums
-149.18%-12M
-11.68%77.9M
-191.53%-22.7M
-44.05%18.8M
86.36%57.4M
2,540.00%24.4M
-14.20%88.2M
181.82%24.8M
20.86%33.6M
-25.78%30.8M
-Change in other current assets
-57.14%-3.3M
-30.34%6.2M
195.31%6.1M
-54.84%2.8M
-104.84%-600K
36.36%-2.1M
127.13%8.9M
-3,100.00%-6.4M
128.18%6.2M
3,200.00%12.4M
-Change in other current liabilities
16.22%4.3M
369.86%19.7M
179.76%6.7M
5,200.00%5.3M
463.64%4M
76.19%3.7M
54.09%-7.3M
-940.00%-8.4M
105.88%100K
90.91%-1.1M
Cash from discontinued operating activities
Operating cash flow
149.58%17.7M
42.79%-92.4M
-61.13%-48.5M
102.56%1.1M
68.79%-9.3M
39.08%-35.7M
-29.72%-161.5M
-467.92%-30.1M
14.00%-43M
44.51%-29.8M
Investing cash flow
Cash flow from continuing investing activities
323.91%58.5M
114.19%57.6M
80.90%-22M
-72.62%30.8M
240.00%35M
103.65%13.8M
-1,253.00%-405.9M
-14,500.00%-115.2M
646.12%112.5M
-1,983.33%-25M
Net investment purchase and sale
231.02%61.9M
127.98%107.5M
86.39%-15.2M
-69.92%35.5M
434.15%68.5M
105.05%18.7M
-3,860.82%-384.2M
-1,589.33%-111.7M
846.84%118M
-1,381.25%-20.5M
Net PPE purchase and sale
---100K
-504.08%-29.6M
-300.00%-400K
88.89%-200K
-4,733.33%-29M
--0
-512.50%-4.9M
85.71%-100K
-1,700.00%-1.8M
---600K
Net other investing changes
----
-60.00%-3.2M
---2.3M
--0
--100K
50.00%-1M
31.03%-2M
--0
--0
--0
Capital expenditure
15.38%-3.3M
-15.54%-17.1M
-20.59%-4.1M
-21.62%-4.5M
-17.95%-4.6M
-2.63%-3.9M
-11.28%-14.8M
15.00%-3.4M
2.63%-3.7M
-39.29%-3.9M
Cash from discontinued investing activities
Investing cash flow
323.91%58.5M
114.19%57.6M
80.90%-22M
-72.62%30.8M
240.00%35M
103.65%13.8M
-1,253.00%-405.9M
-14,500.00%-115.2M
646.12%112.5M
-1,983.33%-25M
Financing cash flow
Cash flow from continuing financing activities
-321.05%-8M
-114.71%-14.6M
-22.58%-3.8M
18.18%-900K
-247.83%-8M
-533.33%-1.9M
-101.41%-6.8M
-875.00%-3.1M
-100.23%-1.1M
23.33%-2.3M
Net common stock issuance
400.00%1M
-75.61%1M
-42.86%400K
400.00%500K
-103.03%-100K
--200K
--4.1M
--700K
103.85%100K
--3.3M
Proceeds from stock option exercised by employees
--0
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-116.67%-200K
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Net other financing charges
-373.68%-9M
-43.12%-15.6M
-10.53%-4.2M
-16.67%-1.4M
-84.09%-8.1M
-26.67%-1.9M
-102.44%-10.9M
25.49%-3.8M
-100.26%-1.2M
-18.92%-4.4M
Cash from discontinued financing activities
Financing cash flow
-321.05%-8M
-114.71%-14.6M
-22.58%-3.8M
18.18%-900K
-247.83%-8M
-533.33%-1.9M
-101.41%-6.8M
-875.00%-3.1M
-100.23%-1.1M
23.33%-2.3M
Net cash flow
Beginning cash position
-20.20%195.1M
-70.14%244.5M
-31.43%269.4M
-26.53%238.4M
-42.16%220.7M
-70.14%244.5M
66.27%818.7M
-52.25%392.9M
-20.89%324.5M
-18.48%381.6M
Current changes in cash
386.55%68.2M
91.40%-49.4M
49.93%-74.3M
-54.68%31M
131.00%17.7M
94.56%-23.8M
-275.97%-574.2M
-3,519.51%-148.4M
-83.42%68.4M
1.38%-57.1M
End cash position
19.30%263.3M
-20.20%195.1M
-20.20%195.1M
-31.43%269.4M
-26.53%238.4M
-42.16%220.7M
-70.14%244.5M
-70.14%244.5M
-52.25%392.9M
-20.89%324.5M
Free cash flow
136.11%14.3M
23.23%-139.1M
-57.74%-53M
92.58%-3.6M
-25.07%-42.9M
38.89%-39.6M
-27.70%-181.2M
-236.00%-33.6M
10.02%-48.5M
39.29%-34.3M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 149.58%17.7M42.79%-92.4M-61.13%-48.5M102.56%1.1M68.79%-9.3M39.08%-35.7M-29.72%-161.5M-467.92%-30.1M14.00%-43M44.51%-29.8M
Net income from continuing operations 51.40%-33.1M19.45%-263M35.04%-39.3M60.55%-50.3M-46.25%-105.3M-2.41%-68.1M11.25%-326.5M-2.02%-60.5M-326.42%-127.5M14.08%-72M
Operating gains losses 50.00%1.5M------------------1M----------------
Other non cash items -33.33%-2.4M0.00%-2.9M90.38%-500K-333.33%-1.3M187.50%700K-152.94%-1.8M91.57%-2.9M-67.74%-5.2M99.33%-300K-123.53%-800K
Change in working capital 168.75%34.4M150.13%93.3M-312.12%-28M218.69%34.1M197.60%74.4M210.34%12.8M-14.65%37.3M-65.54%13.2M663.16%10.7M304.92%25M
-Change in receivables 52.99%-25.9M18.12%-61M-48.97%22.4M137.93%28.6M-341.10%-56.9M17.27%-55.1M56.84%-74.5M272.03%43.9M-64.63%-75.4M145.21%23.6M
-Change in prepaid assets 456.80%60.3M67.18%-25.7M581.93%40M99.21%-300K-77.01%-48.5M-284.09%-16.9M23.39%-78.3M-137.14%-8.3M-16.46%-38.2M30.28%-27.4M
-Change in loss and loss adjustment expense reserves 23.68%14.1M-13.03%28.7M-35.02%-37.4M-114.61%-7.7M558.82%62.4M-47.22%11.4M-78.81%33M-231.28%-27.7M18.43%52.7M-149.82%-13.6M
-Change in payables and accrued expense -106.54%-3.1M-29.42%47.5M-817.02%-43.1M-142.27%-13.4M18,766.67%56.6M18.50%47.4M-38.09%67.3M-571.43%-4.7M12.81%31.7M-98.70%300K
-Change in unearned premiums -149.18%-12M-11.68%77.9M-191.53%-22.7M-44.05%18.8M86.36%57.4M2,540.00%24.4M-14.20%88.2M181.82%24.8M20.86%33.6M-25.78%30.8M
-Change in other current assets -57.14%-3.3M-30.34%6.2M195.31%6.1M-54.84%2.8M-104.84%-600K36.36%-2.1M127.13%8.9M-3,100.00%-6.4M128.18%6.2M3,200.00%12.4M
-Change in other current liabilities 16.22%4.3M369.86%19.7M179.76%6.7M5,200.00%5.3M463.64%4M76.19%3.7M54.09%-7.3M-940.00%-8.4M105.88%100K90.91%-1.1M
Cash from discontinued operating activities
Operating cash flow 149.58%17.7M42.79%-92.4M-61.13%-48.5M102.56%1.1M68.79%-9.3M39.08%-35.7M-29.72%-161.5M-467.92%-30.1M14.00%-43M44.51%-29.8M
Investing cash flow
Cash flow from continuing investing activities 323.91%58.5M114.19%57.6M80.90%-22M-72.62%30.8M240.00%35M103.65%13.8M-1,253.00%-405.9M-14,500.00%-115.2M646.12%112.5M-1,983.33%-25M
Net investment purchase and sale 231.02%61.9M127.98%107.5M86.39%-15.2M-69.92%35.5M434.15%68.5M105.05%18.7M-3,860.82%-384.2M-1,589.33%-111.7M846.84%118M-1,381.25%-20.5M
Net PPE purchase and sale ---100K-504.08%-29.6M-300.00%-400K88.89%-200K-4,733.33%-29M--0-512.50%-4.9M85.71%-100K-1,700.00%-1.8M---600K
Net other investing changes -----60.00%-3.2M---2.3M--0--100K50.00%-1M31.03%-2M--0--0--0
Capital expenditure 15.38%-3.3M-15.54%-17.1M-20.59%-4.1M-21.62%-4.5M-17.95%-4.6M-2.63%-3.9M-11.28%-14.8M15.00%-3.4M2.63%-3.7M-39.29%-3.9M
Cash from discontinued investing activities
Investing cash flow 323.91%58.5M114.19%57.6M80.90%-22M-72.62%30.8M240.00%35M103.65%13.8M-1,253.00%-405.9M-14,500.00%-115.2M646.12%112.5M-1,983.33%-25M
Financing cash flow
Cash flow from continuing financing activities -321.05%-8M-114.71%-14.6M-22.58%-3.8M18.18%-900K-247.83%-8M-533.33%-1.9M-101.41%-6.8M-875.00%-3.1M-100.23%-1.1M23.33%-2.3M
Net common stock issuance 400.00%1M-75.61%1M-42.86%400K400.00%500K-103.03%-100K--200K--4.1M--700K103.85%100K--3.3M
Proceeds from stock option exercised by employees --0-----------------116.67%-200K----------------
Net other financing charges -373.68%-9M-43.12%-15.6M-10.53%-4.2M-16.67%-1.4M-84.09%-8.1M-26.67%-1.9M-102.44%-10.9M25.49%-3.8M-100.26%-1.2M-18.92%-4.4M
Cash from discontinued financing activities
Financing cash flow -321.05%-8M-114.71%-14.6M-22.58%-3.8M18.18%-900K-247.83%-8M-533.33%-1.9M-101.41%-6.8M-875.00%-3.1M-100.23%-1.1M23.33%-2.3M
Net cash flow
Beginning cash position -20.20%195.1M-70.14%244.5M-31.43%269.4M-26.53%238.4M-42.16%220.7M-70.14%244.5M66.27%818.7M-52.25%392.9M-20.89%324.5M-18.48%381.6M
Current changes in cash 386.55%68.2M91.40%-49.4M49.93%-74.3M-54.68%31M131.00%17.7M94.56%-23.8M-275.97%-574.2M-3,519.51%-148.4M-83.42%68.4M1.38%-57.1M
End cash position 19.30%263.3M-20.20%195.1M-20.20%195.1M-31.43%269.4M-26.53%238.4M-42.16%220.7M-70.14%244.5M-70.14%244.5M-52.25%392.9M-20.89%324.5M
Free cash flow 136.11%14.3M23.23%-139.1M-57.74%-53M92.58%-3.6M-25.07%-42.9M38.89%-39.6M-27.70%-181.2M-236.00%-33.6M10.02%-48.5M39.29%-34.3M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------------Unqualified Opinion------

Analysis

Analyst Rating

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Price Target

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