美股市場個股詳情

Heritage Insurance (HRTG)

添加自選
  • 22.450
  • +0.130+0.58%
收盤價 06/12 15:59 (美東)
  • 22.450
  • 0.0000.00%
盤後 17:34 (美東)
6.80億總市值3.44市盈率TTM

Heritage Insurance (HRTG) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(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
經營活動現金流(間接法)
持續經營活動現金淨額
2,870.61%2,486.4萬
109.24%1.82億
124.62%1,380.6萬
1,030.06%1.24億
-71.56%4,329.2萬
-80.58%83.7萬
23.69%8,709.5萬
-156.21%-5,607.8萬
75.00%-1,336.5萬
1,559.53%1.52億
持續經營淨收入
19.72%3,648.3萬
217.84%1.96億
228.56%6,667.5萬
518.51%5,042.1萬
154.51%4,802.4萬
114.23%3,047.4萬
35.83%6,153.9萬
-34.42%2,029.3萬
209.81%815.2萬
142.56%1,886.9萬
持續經營損益
----
-484.82%-271.3萬
-95.43%3.3萬
-45,600.00%-274.2萬
58.33%-5,000
0.00%1,000
-24.76%70.5萬
-18.69%72.2萬
-101.58%-6,000
-100.77%-1.2萬
遞延稅費
113.06%134萬
149.08%237.5萬
1,004.76%95萬
178.77%236.4萬
258.95%932.2萬
-136.97%-1,026.1萬
-12,197.50%-483.9萬
-121.92%-10.5萬
28.72%-300.1萬
-66.48%259.7萬
其他非現金項目
-710.00%-6.1萬
-3,700.00%-183.6萬
-86.86%9.7萬
-13,450.00%-213.6萬
103.16%19.3萬
101.25%1萬
-94.04%5.1萬
13.19%73.8萬
145.71%1.6萬
58.33%9.5萬
營運資金變化
27.86%-1,700.8萬
-254.95%-2,885.3萬
28.41%-5,843.6萬
444.85%7,191.5萬
-114.63%-1,875.4萬
-232.79%-2,357.8萬
20.32%1,862.1萬
-223.24%-8,162.1萬
53.24%-2,085.4萬
1,329.44%1.28億
-應收款項(增)減
-57.95%5,882.8萬
266.48%4.28億
119.40%5,940.3萬
50.07%1.69億
339.06%5,933.5萬
280.94%1.4億
-179.41%-2.57億
-229.39%-3.06億
163.18%1.13億
-89.01%1,351.4萬
-預付費用(增)減
-1.01%1.12億
117.73%276.3萬
30.54%1.19億
0.01%1.04億
-1.71%-3.34億
-3.34%1.14億
-222.15%-1,558萬
-16.67%9,122萬
-1.29%1.04億
-2.50%-3.28億
-儲備金(增)減
81.71%-3,543.4萬
-335.45%-4.63億
-126.24%-7,010.7萬
-35.89%-6,359.9萬
-533.85%-1.36億
-8,443.17%-1.94億
168.82%1.97億
313.15%2.67億
-130.50%-4,680.3萬
86.87%-2,141.6萬
-遞延購置成本(增)減
125.21%17.7萬
-122.14%-134萬
-82.17%224.8萬
-22.86%414.8萬
17.47%-703.4萬
79.42%-70.2萬
285.28%605.3萬
938.71%1,261萬
103.83%537.7萬
2.05%-852.3萬
-應計投資收入(增)減
-21.55%28.4萬
36.75%-96.4萬
-201.10%-109萬
201.22%8.3萬
43.54%-31.9萬
170.29%36.2萬
-507.17%-152.4萬
-5.54%-36.2萬
46.41%-8.2萬
-1,469.44%-56.5萬
-應付款項及應計費用(減)增
-83.90%-1.52億
-86.32%921.6萬
-22.41%-1.4億
23.07%-1.22億
-12.32%3.54億
-30.50%-8,267.1萬
279.54%6,736.9萬
6.02%-1.15億
-51.59%-1.59億
37.26%4.04億
-未賺保費(減)增
-44.18%480萬
-49.13%919.4萬
5.30%-3,264.1萬
46.59%-2,111.3萬
-14.68%5,434.9萬
-69.69%859.9萬
8.45%1,807.2萬
-51.47%-3,446.9萬
-20.75%-3,953.2萬
-3.21%6,370.1萬
-其他流動資產變化
109.69%41.4萬
-269.51%-770.1萬
-74.56%54.8萬
24.82%444.1萬
-359.49%-841.8萬
3.20%-427.2萬
144.12%454.3萬
62.57%215.4萬
26.13%355.8萬
185.56%324.4萬
-其他流動負債變化
-40.13%-647.7萬
-6,852.78%-486.2萬
448.70%442.8萬
-116.56%-342.6萬
-149.29%-124.2萬
-176.27%-462.2萬
100.57%7.2萬
106.73%80.7萬
-121.70%-158.2萬
202.23%252萬
-其他營運資本變化
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----
----
----
----
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--0
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非持續經營活動現金淨額
經營活動現金流淨額
2,870.61%2,486.4萬
109.24%1.82億
124.62%1,380.6萬
1,030.06%1.24億
-71.56%4,329.2萬
-80.57%83.7萬
23.69%8,709.5萬
-156.21%-5,607.8萬
75.00%-1,336.5萬
1,559.54%1.52億
投資活動現金流
持續投資活動現金淨額
-1,177.05%-4,430.1萬
64.33%-3,267.3萬
-615.74%-1,156.8萬
-154.35%-2,436.1萬
112.15%672.5萬
95.84%-346.9萬
-190.87%-9,159.9萬
-98.02%224.3萬
18.86%4,482萬
36.08%-5,536.7萬
投資產品交易的現金淨流
-3,042.83%-4,249.1萬
66.59%-2,776.2萬
-286.87%-898.1萬
-153.71%-2,567.3萬
115.58%824.4萬
98.37%-135.2萬
-174.97%-8,309.9萬
-95.81%480.6萬
18.63%4,779.5萬
36.22%-5,290.4萬
固定資產交易的淨現金流
13.36%-181.6萬
40.58%-489萬
-0.94%-258.7萬
144.64%132.8萬
37.68%-153.5萬
-815.28%-209.6萬
16.78%-823萬
-77.37%-256.3萬
-26.43%-297.5萬
33.05%-246.3萬
其他投資活動現金流
--1.7萬
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----
----
----
----
----
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非持續投資活動現金淨額
投資活動現金流淨額
-1,177.05%-4,430.1萬
64.33%-3,267.3萬
-615.74%-1,156.8萬
-154.35%-2,436.1萬
112.15%672.5萬
95.84%-346.9萬
-190.87%-9,159.9萬
-98.02%224.3萬
18.86%4,482萬
36.08%-5,536.7萬
融資活動現金流
持續融資活動現金淨額
8.30%-1,985.3萬
-682.83%-4,062.9萬
1.05%-338.2萬
-438.23%-1,314.9萬
-0.20%-244.7萬
-795.50%-2,165.1萬
-135.68%-519萬
-115.68%-341.8萬
-0.25%-244.3萬
0.00%-244.2萬
債務發行付款淨額
95.67%-93.8萬
-744.26%-3,605萬
-729.02%-2,028.6萬
-344.78%-1,086.6萬
786.04%1,675.3萬
-807.09%-2,165.1萬
55.89%-427萬
-0.25%-244.7萬
-0.25%-244.3萬
0.00%-244.2萬
普通股發行/償還的淨現金流
---1,000.6萬
-76,000.00%-228.3萬
--0
----
----
--0
-100.01%-3,000
---3,000
----
----
其他籌資活動現金流
53.60%-890.9萬
-150.38%-229.6萬
1,846.28%1,690.4萬
--0
--0
-37,747.06%-1,920萬
-113.75%-91.7萬
-129.93%-96.8萬
--0
--0
非持續融資活動現金淨額
融資活動現金流淨額
8.30%-1,985.3萬
-682.83%-4,062.9萬
1.05%-338.2萬
-438.23%-1,314.9萬
-0.20%-244.7萬
-795.50%-2,165.1萬
-135.68%-519萬
-115.68%-341.8萬
-0.25%-244.3萬
0.00%-244.2萬
現金淨流量
期初現金流
23.50%5.73億
-2.05%4.64億
10.14%5.74億
-1.01%4.87億
10.54%4.39億
-2.05%4.64億
64.60%4.73億
118.33%5.21億
91.57%4.92億
18.06%3.97億
當期現金流變化
-61.80%-3,929萬
1,223.75%1.09億
98.00%-114.4萬
199.16%8,679.3萬
-49.62%4,757萬
68.00%-2,428.3萬
-105.22%-969.4萬
-124.39%-5,725.3萬
259.50%2,901.2萬
218.18%9,442.1萬
期末現金流
21.38%5.33億
23.50%5.73億
23.50%5.73億
10.14%5.74億
-1.01%4.87億
10.54%4.39億
-2.05%4.64億
-2.05%4.64億
118.33%5.21億
91.57%4.92億
自由現金流
1,930.66%2,304.8萬
120.84%1.74億
118.67%1,094.6萬
851.04%1.23億
-72.12%4,175.7萬
-130.87%-125.9萬
30.30%7,886.5萬
-159.65%-5,864.1萬
70.72%-1,634萬
2,626.01%1.5億
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
--
--
--
--
無保留意見
--
--
--
(Q1)2026/03/31(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
經營活動現金流(間接法)
持續經營活動現金淨額 2,870.61%2,486.4萬109.24%1.82億124.62%1,380.6萬1,030.06%1.24億-71.56%4,329.2萬-80.58%83.7萬23.69%8,709.5萬-156.21%-5,607.8萬75.00%-1,336.5萬1,559.53%1.52億
持續經營淨收入 19.72%3,648.3萬217.84%1.96億228.56%6,667.5萬518.51%5,042.1萬154.51%4,802.4萬114.23%3,047.4萬35.83%6,153.9萬-34.42%2,029.3萬209.81%815.2萬142.56%1,886.9萬
持續經營損益 -----484.82%-271.3萬-95.43%3.3萬-45,600.00%-274.2萬58.33%-5,0000.00%1,000-24.76%70.5萬-18.69%72.2萬-101.58%-6,000-100.77%-1.2萬
遞延稅費 113.06%134萬149.08%237.5萬1,004.76%95萬178.77%236.4萬258.95%932.2萬-136.97%-1,026.1萬-12,197.50%-483.9萬-121.92%-10.5萬28.72%-300.1萬-66.48%259.7萬
其他非現金項目 -710.00%-6.1萬-3,700.00%-183.6萬-86.86%9.7萬-13,450.00%-213.6萬103.16%19.3萬101.25%1萬-94.04%5.1萬13.19%73.8萬145.71%1.6萬58.33%9.5萬
營運資金變化 27.86%-1,700.8萬-254.95%-2,885.3萬28.41%-5,843.6萬444.85%7,191.5萬-114.63%-1,875.4萬-232.79%-2,357.8萬20.32%1,862.1萬-223.24%-8,162.1萬53.24%-2,085.4萬1,329.44%1.28億
-應收款項(增)減 -57.95%5,882.8萬266.48%4.28億119.40%5,940.3萬50.07%1.69億339.06%5,933.5萬280.94%1.4億-179.41%-2.57億-229.39%-3.06億163.18%1.13億-89.01%1,351.4萬
-預付費用(增)減 -1.01%1.12億117.73%276.3萬30.54%1.19億0.01%1.04億-1.71%-3.34億-3.34%1.14億-222.15%-1,558萬-16.67%9,122萬-1.29%1.04億-2.50%-3.28億
-儲備金(增)減 81.71%-3,543.4萬-335.45%-4.63億-126.24%-7,010.7萬-35.89%-6,359.9萬-533.85%-1.36億-8,443.17%-1.94億168.82%1.97億313.15%2.67億-130.50%-4,680.3萬86.87%-2,141.6萬
-遞延購置成本(增)減 125.21%17.7萬-122.14%-134萬-82.17%224.8萬-22.86%414.8萬17.47%-703.4萬79.42%-70.2萬285.28%605.3萬938.71%1,261萬103.83%537.7萬2.05%-852.3萬
-應計投資收入(增)減 -21.55%28.4萬36.75%-96.4萬-201.10%-109萬201.22%8.3萬43.54%-31.9萬170.29%36.2萬-507.17%-152.4萬-5.54%-36.2萬46.41%-8.2萬-1,469.44%-56.5萬
-應付款項及應計費用(減)增 -83.90%-1.52億-86.32%921.6萬-22.41%-1.4億23.07%-1.22億-12.32%3.54億-30.50%-8,267.1萬279.54%6,736.9萬6.02%-1.15億-51.59%-1.59億37.26%4.04億
-未賺保費(減)增 -44.18%480萬-49.13%919.4萬5.30%-3,264.1萬46.59%-2,111.3萬-14.68%5,434.9萬-69.69%859.9萬8.45%1,807.2萬-51.47%-3,446.9萬-20.75%-3,953.2萬-3.21%6,370.1萬
-其他流動資產變化 109.69%41.4萬-269.51%-770.1萬-74.56%54.8萬24.82%444.1萬-359.49%-841.8萬3.20%-427.2萬144.12%454.3萬62.57%215.4萬26.13%355.8萬185.56%324.4萬
-其他流動負債變化 -40.13%-647.7萬-6,852.78%-486.2萬448.70%442.8萬-116.56%-342.6萬-149.29%-124.2萬-176.27%-462.2萬100.57%7.2萬106.73%80.7萬-121.70%-158.2萬202.23%252萬
-其他營運資本變化 --------------------------0------------
非持續經營活動現金淨額
經營活動現金流淨額 2,870.61%2,486.4萬109.24%1.82億124.62%1,380.6萬1,030.06%1.24億-71.56%4,329.2萬-80.57%83.7萬23.69%8,709.5萬-156.21%-5,607.8萬75.00%-1,336.5萬1,559.54%1.52億
投資活動現金流
持續投資活動現金淨額 -1,177.05%-4,430.1萬64.33%-3,267.3萬-615.74%-1,156.8萬-154.35%-2,436.1萬112.15%672.5萬95.84%-346.9萬-190.87%-9,159.9萬-98.02%224.3萬18.86%4,482萬36.08%-5,536.7萬
投資產品交易的現金淨流 -3,042.83%-4,249.1萬66.59%-2,776.2萬-286.87%-898.1萬-153.71%-2,567.3萬115.58%824.4萬98.37%-135.2萬-174.97%-8,309.9萬-95.81%480.6萬18.63%4,779.5萬36.22%-5,290.4萬
固定資產交易的淨現金流 13.36%-181.6萬40.58%-489萬-0.94%-258.7萬144.64%132.8萬37.68%-153.5萬-815.28%-209.6萬16.78%-823萬-77.37%-256.3萬-26.43%-297.5萬33.05%-246.3萬
其他投資活動現金流 --1.7萬------------------------------------
非持續投資活動現金淨額
投資活動現金流淨額 -1,177.05%-4,430.1萬64.33%-3,267.3萬-615.74%-1,156.8萬-154.35%-2,436.1萬112.15%672.5萬95.84%-346.9萬-190.87%-9,159.9萬-98.02%224.3萬18.86%4,482萬36.08%-5,536.7萬
融資活動現金流
持續融資活動現金淨額 8.30%-1,985.3萬-682.83%-4,062.9萬1.05%-338.2萬-438.23%-1,314.9萬-0.20%-244.7萬-795.50%-2,165.1萬-135.68%-519萬-115.68%-341.8萬-0.25%-244.3萬0.00%-244.2萬
債務發行付款淨額 95.67%-93.8萬-744.26%-3,605萬-729.02%-2,028.6萬-344.78%-1,086.6萬786.04%1,675.3萬-807.09%-2,165.1萬55.89%-427萬-0.25%-244.7萬-0.25%-244.3萬0.00%-244.2萬
普通股發行/償還的淨現金流 ---1,000.6萬-76,000.00%-228.3萬--0----------0-100.01%-3,000---3,000--------
其他籌資活動現金流 53.60%-890.9萬-150.38%-229.6萬1,846.28%1,690.4萬--0--0-37,747.06%-1,920萬-113.75%-91.7萬-129.93%-96.8萬--0--0
非持續融資活動現金淨額
融資活動現金流淨額 8.30%-1,985.3萬-682.83%-4,062.9萬1.05%-338.2萬-438.23%-1,314.9萬-0.20%-244.7萬-795.50%-2,165.1萬-135.68%-519萬-115.68%-341.8萬-0.25%-244.3萬0.00%-244.2萬
現金淨流量
期初現金流 23.50%5.73億-2.05%4.64億10.14%5.74億-1.01%4.87億10.54%4.39億-2.05%4.64億64.60%4.73億118.33%5.21億91.57%4.92億18.06%3.97億
當期現金流變化 -61.80%-3,929萬1,223.75%1.09億98.00%-114.4萬199.16%8,679.3萬-49.62%4,757萬68.00%-2,428.3萬-105.22%-969.4萬-124.39%-5,725.3萬259.50%2,901.2萬218.18%9,442.1萬
期末現金流 21.38%5.33億23.50%5.73億23.50%5.73億10.14%5.74億-1.01%4.87億10.54%4.39億-2.05%4.64億-2.05%4.64億118.33%5.21億91.57%4.92億
自由現金流 1,930.66%2,304.8萬120.84%1.74億118.67%1,094.6萬851.04%1.23億-72.12%4,175.7萬-130.87%-125.9萬30.30%7,886.5萬-159.65%-5,864.1萬70.72%-1,634萬2,626.01%1.5億
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --無保留意見--------無保留意見------
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