美股市場個股詳情

Hagerty (HGTY)

添加自選
  • 10.700
  • +0.090+0.85%
收盤價 04/24 16:00 (美東)
  • 10.700
  • 0.0000.00%
盤後 16:41 (美東)
10.81億總市值28.92市盈率TTM

Hagerty (HGTY) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流(間接法)
持續經營活動現金淨額
23.70%2.19億
330.63%2,910.1萬
36.78%9,217.1萬
-15.83%5,388.4萬
-24.74%4,383萬
32.40%1.77億
-949.70%-1,261.8萬
9.28%6,738.7萬
8.82%6,401.7萬
396.57%5,823.8萬
持續經營淨收入
90.57%1.49億
238.38%2,855.9萬
142.92%4,617.1萬
10.65%4,720.2萬
232.88%2,729.3萬
177.88%7,830.3萬
-6.66%844萬
2.06%1,900.7萬
174.52%4,265.7萬
154.57%819.9萬
持續經營損益
33.14%-115.2萬
-29.62%-44.2萬
-24.94%-104.2萬
---111.9萬
--145.1萬
-190.97%-172.3萬
88.45%-34.1萬
---83.4萬
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----
遞延稅費
-1,277.98%-3,450.3萬
-157.32%-9萬
-4,728.68%-3,647.4萬
17.42%300萬
-64.45%-93.9萬
0.27%292.9萬
107.65%15.7萬
-47.22%78.8萬
0.47%255.5萬
-160.94%-57.1萬
其他非現金項目
217.85%4,244.3萬
-56.25%189.7萬
796.84%3,288.7萬
83.71%369.8萬
18.70%396.1萬
-5.71%1,335.3萬
8.89%433.6萬
720.36%366.7萬
-65.12%201.3萬
-15.75%333.7萬
營運資金變化
-53.01%1,068.7萬
61.59%-1,423.7萬
16.54%3,730萬
-763.13%-1,174.4萬
-102.43%-63.2萬
-33.57%2,274.2萬
-350.04%-3,706.5萬
57.90%3,200.6萬
-90.54%177.1萬
647.13%2,603萬
-應收款項(增)減
-336.23%-6,259.5萬
13.00%6,165.5萬
119.08%2,463.3萬
-33.45%-1.09億
-192.18%-3,939.4萬
137.92%2,649.8萬
46.97%5,456萬
183.59%1,124.4萬
15.70%-8,204.2萬
1,031.48%4,273.6萬
-預付費用(增)減
57.39%-342.9萬
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----
----
----
22.50%-804.7萬
----
----
----
----
-儲備金(增)減
-98.88%35.9萬
66.69%-944.1萬
-57.31%1,762.8萬
-47.07%713萬
-368.69%-1,495.8萬
29.15%3,198.5萬
-2,387.57%-2,834.3萬
121.39%4,129.1萬
32.34%1,347萬
205.00%556.7萬
-遞延購置成本(增)減
-53.47%-2,275.8萬
9.06%1,327.2萬
-50.79%-1,406.6萬
-16.88%-2,616萬
-10.95%419.6萬
56.76%-1,482.9萬
-10.79%1,216.9萬
38.55%-932.8萬
15.26%-2,238.2萬
174.27%471.2萬
-可收回再保險損失(增)減
63.16%-336.9萬
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----
----
----
-584.94%-914.4萬
----
----
----
----
-應付款項及應計費用(減)增
14.06%574.3萬
-199.91%-8,692.4萬
36.08%-2,187萬
6.34%1.13億
105.11%192.6萬
-86.80%503.5萬
30.59%-2,898.3萬
-593.39%-3,421.2萬
33.35%1.06億
-794.23%-3,766.9萬
-未賺保費(減)增
41.11%6,869.4萬
33.06%-1,316.1萬
25.05%2,889.8萬
-12.03%1,307.7萬
31.32%3,988萬
-49.65%4,868.2萬
-26.48%-1,966.2萬
-14.64%2,311萬
-73.43%1,486.6萬
3.95%3,036.8萬
-其他流動負債變化
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----
----
----
----
----
----
26.42%-225萬
26.60%-224.9萬
21.20%-228.2萬
-其他營運資本變化
148.82%2,804.2萬
223.71%2,028.4萬
33.99%895.3萬
68.21%-891.3萬
139.21%771.8萬
-505.69%-5,743.8萬
-6,818.14%-1,639.6萬
-40.18%668.2萬
-107,746.15%-2,804萬
3.46%-1,968.4萬
非持續經營活動現金淨額
經營活動現金流淨額
23.70%2.19億
330.63%2,910.1萬
36.78%9,217.1萬
-15.83%5,388.4萬
-24.74%4,383萬
32.40%1.77億
-949.70%-1,261.8萬
9.28%6,738.7萬
8.82%6,401.7萬
396.57%5,823.8萬
投資活動現金流
持續投資活動現金淨額
70.06%-1.85億
-11.27%-6,239.1萬
-10.19%-9,096.7萬
94.07%-2,735.8萬
75.50%-448.1萬
-1,074.93%-6.19億
-208.35%-5,607.4萬
-2,511.61%-8,255.3萬
-7,004.49%-4.62億
26.27%-1,828.7萬
投資產品交易的現金淨流
77.95%-1.25億
17.69%-5,570.1萬
-42.84%-6,772.7萬
97.56%-1,099萬
598.51%937.7萬
-18,193.45%-5.67億
-138,214.29%-6,767.6萬
-80,462.71%-4,741.4萬
-4,501,160.00%-4.5億
41.18%-188.1萬
債券發行/償還的淨現金流
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----
----
----
----
--0
----
----
----
----
業務交易的淨現金流
93.55%-161.9萬
140.32%50.6萬
89.39%-212.5萬
--0
--0
-189.30%-2,512萬
-18,028.57%-125.5萬
-1,146.70%-2,002.2萬
--0
36.75%-384.3萬
其他投資活動現金流
-579.63%-3,400.2萬
-106.85%-116萬
-44.91%-1,416.5萬
-147.41%-1,020.8萬
-5.53%-846.9萬
65.40%-500.3萬
226.35%1,692.3萬
-364.83%-977.5萬
-256.41%-412.6萬
-8.50%-802.5萬
資本支出
-14.95%-2,453.5萬
-48.45%-603.6萬
-30.10%-695萬
16.73%-616萬
-18.75%-538.9萬
19.16%-2,134.4萬
16.11%-406.6萬
-0.70%-534.2萬
8.87%-739.8萬
44.20%-453.8萬
非持續投資活動現金淨額
投資活動現金流淨額
70.06%-1.85億
-11.27%-6,239.1萬
-10.19%-9,096.7萬
94.07%-2,735.8萬
75.50%-448.1萬
-1,074.93%-6.19億
-208.35%-5,607.4萬
-2,511.61%-8,255.3萬
-7,004.49%-4.62億
26.27%-1,828.7萬
融資活動現金流
持續融資活動現金淨額
163.78%2,992.8萬
97.56%-48.3萬
-96.07%93.1萬
212.44%1,523.6萬
138.26%1,424.4萬
-145.48%-4,692.2萬
-136.13%-1,980.5萬
607.20%2,366.6萬
-118.85%-1,355萬
-97.22%-3,723.3萬
債務發行付款淨額
340.63%6,931萬
96.08%-71.8萬
-91.20%218.2萬
1,363.69%2,865.9萬
205.25%3,918.7萬
-232.75%-2,880.3萬
-133.80%-1,831.9萬
611.68%2,479.1萬
123.64%195.8萬
-92.13%-3,723.3萬
普通股發行/償還的淨現金流
--0
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--0
----
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----
----
優先股發行/償還的淨現金流
0.00%-560萬
----
----
----
----
---560萬
92.93%-560萬
--0
----
----
現金股利支付
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--0
----
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--0
----
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職工行使股票期權收到的現金
----
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----
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--0
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其他籌資活動現金流
-169.85%-3,378.2萬
115.81%23.5萬
-11.20%-125.1萬
---782.3萬
---2,494.3萬
-643.12%-1,251.9萬
-197.38%-148.6萬
-728.49%-112.5萬
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----
非持續融資活動現金淨額
融資活動現金流淨額
163.78%2,992.8萬
97.56%-48.3萬
-96.07%93.1萬
212.44%1,523.6萬
138.26%1,424.4萬
-145.48%-4,692.2萬
-136.13%-1,980.5萬
607.20%2,366.6萬
-118.85%-1,355萬
-97.22%-3,723.3萬
現金淨流量
期初現金流
-67.85%2.33億
2.85%3.33億
4.77%3.31億
-60.61%2.86億
-67.85%2.33億
34.33%7.24億
-52.82%3.23億
-50.10%3.16億
43.24%7.27億
34.33%7.24億
當期現金流變化
113.04%6,371.7萬
61.84%-3,377.3萬
-74.88%213.5萬
110.16%4,176.2萬
1,871.78%5,359.3萬
-365.15%-4.88億
-332.14%-8,849.7萬
-84.21%850萬
-431.03%-4.11億
108.51%271.8萬
利率變動影響
182.12%243.8萬
106.04%12.6萬
87.52%-7.4萬
2,542.72%251.6萬
30.11%-13萬
-443.24%-296.9萬
-460.45%-208.7萬
4.82%-59.3萬
-113.64%-10.3萬
-220.78%-18.6萬
期末現金流
28.41%2.99億
28.41%2.99億
2.85%3.33億
4.77%3.31億
-60.61%2.86億
-67.85%2.33億
-67.85%2.33億
-52.82%3.23億
-50.10%3.16億
43.24%7.27億
自由現金流
24.90%1.94億
238.25%2,306.5萬
37.35%8,522.1萬
-15.71%4,772.4萬
-28.42%3,844.1萬
45.08%1.56億
-396.25%-1,668.4萬
10.09%6,204.5萬
11.65%5,661.9萬
1,393.74%5,370萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
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--
--
無保留意見
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--
--
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流(間接法)
持續經營活動現金淨額 23.70%2.19億330.63%2,910.1萬36.78%9,217.1萬-15.83%5,388.4萬-24.74%4,383萬32.40%1.77億-949.70%-1,261.8萬9.28%6,738.7萬8.82%6,401.7萬396.57%5,823.8萬
持續經營淨收入 90.57%1.49億238.38%2,855.9萬142.92%4,617.1萬10.65%4,720.2萬232.88%2,729.3萬177.88%7,830.3萬-6.66%844萬2.06%1,900.7萬174.52%4,265.7萬154.57%819.9萬
持續經營損益 33.14%-115.2萬-29.62%-44.2萬-24.94%-104.2萬---111.9萬--145.1萬-190.97%-172.3萬88.45%-34.1萬---83.4萬--------
遞延稅費 -1,277.98%-3,450.3萬-157.32%-9萬-4,728.68%-3,647.4萬17.42%300萬-64.45%-93.9萬0.27%292.9萬107.65%15.7萬-47.22%78.8萬0.47%255.5萬-160.94%-57.1萬
其他非現金項目 217.85%4,244.3萬-56.25%189.7萬796.84%3,288.7萬83.71%369.8萬18.70%396.1萬-5.71%1,335.3萬8.89%433.6萬720.36%366.7萬-65.12%201.3萬-15.75%333.7萬
營運資金變化 -53.01%1,068.7萬61.59%-1,423.7萬16.54%3,730萬-763.13%-1,174.4萬-102.43%-63.2萬-33.57%2,274.2萬-350.04%-3,706.5萬57.90%3,200.6萬-90.54%177.1萬647.13%2,603萬
-應收款項(增)減 -336.23%-6,259.5萬13.00%6,165.5萬119.08%2,463.3萬-33.45%-1.09億-192.18%-3,939.4萬137.92%2,649.8萬46.97%5,456萬183.59%1,124.4萬15.70%-8,204.2萬1,031.48%4,273.6萬
-預付費用(增)減 57.39%-342.9萬----------------22.50%-804.7萬----------------
-儲備金(增)減 -98.88%35.9萬66.69%-944.1萬-57.31%1,762.8萬-47.07%713萬-368.69%-1,495.8萬29.15%3,198.5萬-2,387.57%-2,834.3萬121.39%4,129.1萬32.34%1,347萬205.00%556.7萬
-遞延購置成本(增)減 -53.47%-2,275.8萬9.06%1,327.2萬-50.79%-1,406.6萬-16.88%-2,616萬-10.95%419.6萬56.76%-1,482.9萬-10.79%1,216.9萬38.55%-932.8萬15.26%-2,238.2萬174.27%471.2萬
-可收回再保險損失(增)減 63.16%-336.9萬-----------------584.94%-914.4萬----------------
-應付款項及應計費用(減)增 14.06%574.3萬-199.91%-8,692.4萬36.08%-2,187萬6.34%1.13億105.11%192.6萬-86.80%503.5萬30.59%-2,898.3萬-593.39%-3,421.2萬33.35%1.06億-794.23%-3,766.9萬
-未賺保費(減)增 41.11%6,869.4萬33.06%-1,316.1萬25.05%2,889.8萬-12.03%1,307.7萬31.32%3,988萬-49.65%4,868.2萬-26.48%-1,966.2萬-14.64%2,311萬-73.43%1,486.6萬3.95%3,036.8萬
-其他流動負債變化 ----------------------------26.42%-225萬26.60%-224.9萬21.20%-228.2萬
-其他營運資本變化 148.82%2,804.2萬223.71%2,028.4萬33.99%895.3萬68.21%-891.3萬139.21%771.8萬-505.69%-5,743.8萬-6,818.14%-1,639.6萬-40.18%668.2萬-107,746.15%-2,804萬3.46%-1,968.4萬
非持續經營活動現金淨額
經營活動現金流淨額 23.70%2.19億330.63%2,910.1萬36.78%9,217.1萬-15.83%5,388.4萬-24.74%4,383萬32.40%1.77億-949.70%-1,261.8萬9.28%6,738.7萬8.82%6,401.7萬396.57%5,823.8萬
投資活動現金流
持續投資活動現金淨額 70.06%-1.85億-11.27%-6,239.1萬-10.19%-9,096.7萬94.07%-2,735.8萬75.50%-448.1萬-1,074.93%-6.19億-208.35%-5,607.4萬-2,511.61%-8,255.3萬-7,004.49%-4.62億26.27%-1,828.7萬
投資產品交易的現金淨流 77.95%-1.25億17.69%-5,570.1萬-42.84%-6,772.7萬97.56%-1,099萬598.51%937.7萬-18,193.45%-5.67億-138,214.29%-6,767.6萬-80,462.71%-4,741.4萬-4,501,160.00%-4.5億41.18%-188.1萬
債券發行/償還的淨現金流 ----------------------0----------------
業務交易的淨現金流 93.55%-161.9萬140.32%50.6萬89.39%-212.5萬--0--0-189.30%-2,512萬-18,028.57%-125.5萬-1,146.70%-2,002.2萬--036.75%-384.3萬
其他投資活動現金流 -579.63%-3,400.2萬-106.85%-116萬-44.91%-1,416.5萬-147.41%-1,020.8萬-5.53%-846.9萬65.40%-500.3萬226.35%1,692.3萬-364.83%-977.5萬-256.41%-412.6萬-8.50%-802.5萬
資本支出 -14.95%-2,453.5萬-48.45%-603.6萬-30.10%-695萬16.73%-616萬-18.75%-538.9萬19.16%-2,134.4萬16.11%-406.6萬-0.70%-534.2萬8.87%-739.8萬44.20%-453.8萬
非持續投資活動現金淨額
投資活動現金流淨額 70.06%-1.85億-11.27%-6,239.1萬-10.19%-9,096.7萬94.07%-2,735.8萬75.50%-448.1萬-1,074.93%-6.19億-208.35%-5,607.4萬-2,511.61%-8,255.3萬-7,004.49%-4.62億26.27%-1,828.7萬
融資活動現金流
持續融資活動現金淨額 163.78%2,992.8萬97.56%-48.3萬-96.07%93.1萬212.44%1,523.6萬138.26%1,424.4萬-145.48%-4,692.2萬-136.13%-1,980.5萬607.20%2,366.6萬-118.85%-1,355萬-97.22%-3,723.3萬
債務發行付款淨額 340.63%6,931萬96.08%-71.8萬-91.20%218.2萬1,363.69%2,865.9萬205.25%3,918.7萬-232.75%-2,880.3萬-133.80%-1,831.9萬611.68%2,479.1萬123.64%195.8萬-92.13%-3,723.3萬
普通股發行/償還的淨現金流 --0------------------0----------------
優先股發行/償還的淨現金流 0.00%-560萬-------------------560萬92.93%-560萬--0--------
現金股利支付 ----------0------------------0--------
職工行使股票期權收到的現金 ------------------------------0--------
其他籌資活動現金流 -169.85%-3,378.2萬115.81%23.5萬-11.20%-125.1萬---782.3萬---2,494.3萬-643.12%-1,251.9萬-197.38%-148.6萬-728.49%-112.5萬--------
非持續融資活動現金淨額
融資活動現金流淨額 163.78%2,992.8萬97.56%-48.3萬-96.07%93.1萬212.44%1,523.6萬138.26%1,424.4萬-145.48%-4,692.2萬-136.13%-1,980.5萬607.20%2,366.6萬-118.85%-1,355萬-97.22%-3,723.3萬
現金淨流量
期初現金流 -67.85%2.33億2.85%3.33億4.77%3.31億-60.61%2.86億-67.85%2.33億34.33%7.24億-52.82%3.23億-50.10%3.16億43.24%7.27億34.33%7.24億
當期現金流變化 113.04%6,371.7萬61.84%-3,377.3萬-74.88%213.5萬110.16%4,176.2萬1,871.78%5,359.3萬-365.15%-4.88億-332.14%-8,849.7萬-84.21%850萬-431.03%-4.11億108.51%271.8萬
利率變動影響 182.12%243.8萬106.04%12.6萬87.52%-7.4萬2,542.72%251.6萬30.11%-13萬-443.24%-296.9萬-460.45%-208.7萬4.82%-59.3萬-113.64%-10.3萬-220.78%-18.6萬
期末現金流 28.41%2.99億28.41%2.99億2.85%3.33億4.77%3.31億-60.61%2.86億-67.85%2.33億-67.85%2.33億-52.82%3.23億-50.10%3.16億43.24%7.27億
自由現金流 24.90%1.94億238.25%2,306.5萬37.35%8,522.1萬-15.71%4,772.4萬-28.42%3,844.1萬45.08%1.56億-396.25%-1,668.4萬10.09%6,204.5萬11.65%5,661.9萬1,393.74%5,370萬
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