美股市场个股详情

HRTG Heritage Insurance

添加自选
  • 10.290
  • -0.140-1.34%
收盘价 04/26 16:00 (美东)
  • 10.290
  • 0.0000.00%
盘后 17:04 (美东)
3.15亿总市值5.95市盈率TTM

Heritage Insurance关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
经营活动现金流(间接法)
持续经营活动现金净额
305.53%7,041.5万
631.19%9,975.7万
-266.78%-5,346.1万
210.13%917.3万
138.12%1,494.6万
-156.98%-3,426万
-48.56%-1,878万
201.34%3,205.5万
-112.78%-832.9万
-199.95%-3,920.6万
持续经营净收入
129.35%4,530.7万
147.53%3,094.4万
84.61%-742.4万
108.85%777.9万
145.54%1,400.8万
-106.57%-1.54亿
125.40%1,250.1万
-193.93%-4,823.9万
-2,125.02%-8,786.6万
-497.49%-3,075.9万
持续经营损益
764.54%93.7万
438.93%88.8万
12,533.33%37.9万
----
----
-176.63%-14.1万
-193.57%-26.2万
-50.00%3,000
----
----
递延税费
100.36%4万
119.79%47.9万
-435.62%-421万
20.13%774.7万
72.47%-397.6万
-88.08%-1,120.2万
21.75%-242.1万
86.07%-78.6万
-15.95%644.9万
-195.20%-1,444.4万
其他非现金项目
85,700.00%85.6万
6,027.27%65.2万
-683.33%-3.5万
233.33%6万
1,378.57%17.9万
0.00%-1,000
89.72%-1.1万
220.00%6,000
-48.57%1.8万
-118.42%-1.4万
营运资金变化
-38.00%1,547.6万
307.67%6,622.9万
-157.56%-4,460万
53.94%-1,042.6万
112.38%427.3万
-61.41%2,496.3万
-34.30%-3,189.2万
658.17%7,748万
-139.93%-2,263.7万
-95.59%201.2万
-应收款项(增)减
158.15%3.24亿
407.85%2.37亿
68.81%-1.79亿
746.30%1.23亿
1,332.97%1.43亿
-598.64%-5.57亿
-55.11%4,659.6万
-3,052.74%-5.73亿
-1,097.69%-1,902.6万
-147.98%-1,158.7万
-预付费用(增)减
131.03%1,275.5万
47.14%1.09亿
20.76%1.06亿
-10.43%-3.2亿
35.40%1.18亿
-104.96%-4,110.4万
2.89%7,439.1万
11.37%8,738万
-18.73%-2.9亿
18.63%8,730.8万
-储备金(增)减
-152.78%-2.86亿
-61.67%-1.25亿
-75.15%1.53亿
-4,943.62%-1.63亿
-8,537.74%-1.51亿
883.00%5.42亿
-68.65%-7,754.5万
5,974.20%6.18亿
128.30%336.8万
91.86%-174.6万
-递延购置成本(增)减
43.04%-326.7万
17.64%121.4万
323.37%263.8万
1.43%-870.1万
-51.17%158.2万
-24.26%-573.6万
-33.16%103.2万
-317.90%-118.1万
-24.48%-882.7万
732.90%324万
-应计投资收入(增)减
61.38%-25.1万
-14.33%-34.3万
49.34%-15.3万
-148.00%-3.6万
328.46%28.1万
-51.16%-65万
-140.00%-30万
-655.00%-30.2万
157.69%7.5万
8.89%-12.3万
-应付款项及应计费用(减)增
-664.09%-3,752.3万
-52.81%-1.22亿
-8.12%-1.05亿
12.61%2.94亿
-34.75%-1.05亿
-76.68%665.2万
40.61%-7,981.1万
-44.27%-9,690.4万
4.73%2.61亿
-298.63%-7,809.6万
-未赚保费(减)增
-75.58%1,666.4万
-244.23%-2,275.7万
-133.48%-3,273.9万
296.96%6,581.1万
-39.42%634.9万
152.37%6,823.4万
72.13%-661.1万
516.22%9,777.9万
-149.70%-3,341.4万
49.25%1,048万
-其他流动资产变化
77.41%186.1万
150.48%132.5万
-50.09%282.1万
165.82%113.6万
-1,257.54%-342.1万
104.76%104.9万
-242.12%-262.5万
69.53%565.2万
93.27%-172.6万
83.69%-25.2万
-其他流动负债变化
-225.51%-1,270.8万
-192.33%-1,198.5万
99.48%729.1万
-451.64%-246.5万
23.06%-554.9万
-26.30%1,012.5万
260.88%1,298.1万
173.58%365.5万
-97.26%70.1万
57.08%-721.2万
-其他营运资本变化
--0
--0
--0
----
----
--162.2万
--0
-5,595.66%-6,331万
----
----
非持续经营活动现金净额
经营活动现金流净额
305.53%7,041.5万
631.19%9,975.7万
-266.78%-5,346.1万
210.13%917.3万
138.12%1,494.6万
-156.98%-3,426万
-48.55%-1,878万
201.34%3,205.5万
-112.78%-832.9万
-199.95%-3,920.6万
投资活动现金流
持续投资活动现金净额
366.25%1.01亿
2,699.24%1.13亿
293.77%3,770.9万
-736.85%-8,662.5万
232.11%3,652.5万
69.58%-3,786.2万
62.30%-435.5万
2.77%-1,946.1万
170.67%1,360.2万
62.47%-2,764.8万
投资产品交易的现金净流
534.44%1.11亿
27,202.13%1.15亿
354.30%4,006.2万
-556.55%-8,294.6万
241.74%3,893.8万
79.36%-2,548万
96.98%-42.3万
16.04%-1,575.4万
204.10%1,816.8万
62.49%-2,747.1万
固定资产交易的净现金流
20.13%-989万
63.25%-144.5万
36.53%-235.3万
19.43%-367.9万
-1,263.28%-241.3万
-1,129.59%-1,238.2万
-256.84%-393.2万
-185.81%-370.7万
-154.23%-456.6万
57.96%-17.7万
非持续投资活动现金净额
投资活动现金流净额
366.25%1.01亿
2,699.24%1.13亿
293.77%3,770.9万
-736.85%-8,662.5万
232.11%3,652.5万
69.58%-3,786.2万
62.30%-435.5万
2.77%-1,946.1万
170.67%1,360.2万
62.47%-2,764.8万
融资活动现金流
持续融资活动现金净额
387.58%1,454.6万
216.28%2,180.4万
52.49%-243.7万
2.75%-244.2万
44.83%-237.9万
70.73%-505.8万
169.78%689.4万
-170.09%-512.9万
-43.16%-251.1万
-15.02%-431.2万
债务发行付款净额
-235.40%-968万
-132.36%-244.1万
-31.66%-243.7万
-155.97%-244.2万
-197.88%-236万
432.67%714.9万
892.33%754.3万
-323.01%-185.1万
-1,172.00%-95.4万
223.51%241.1万
普通股发行/偿还的净现金流
435.91%2,466.6万
4,117.26%2,466.6万
--0
--0
--0
10.36%-734.3万
91.46%-61.4万
-72.04%-172.9万
--0
---500万
现金股利支付
99.77%-1.1万
--0
--0
--0
99.33%-1.1万
28.90%-477万
100.06%1,000
7.80%-154.9万
5.42%-158.8万
2.16%-163.4万
其他筹资活动现金流
-356.38%-42.9万
-1,069.44%-42.1万
--0
--0
91.01%-8,000
59.31%-9.4万
40.00%-3.6万
--0
--3.1万
29.92%-8.9万
非持续融资活动现金净额
融资活动现金流净额
387.58%1,454.6万
216.28%2,180.4万
52.49%-243.7万
2.75%-244.2万
44.83%-237.9万
70.73%-505.8万
169.78%689.4万
-170.09%-512.9万
-43.16%-251.1万
-15.02%-431.2万
现金净流量
期初现金流
-21.16%2.88亿
-21.47%2.39亿
-13.36%2.57亿
14.67%3.37亿
-21.16%2.88亿
-18.29%3.65亿
-23.82%3.04亿
-34.49%2.96亿
-28.08%2.94亿
-18.29%3.65亿
当期现金流变化
340.69%1.86亿
1,545.47%2.35亿
-343.66%-1,818.9万
-2,992.61%-7,989.4万
168.98%4,909.2万
5.45%-7,718万
52.34%-1,624.1万
113.94%746.5万
-93.75%276.2万
-86.37%-7,116.6万
期末现金流
64.60%4.73亿
64.60%4.73亿
-21.47%2.39亿
-13.36%2.57亿
14.67%3.37亿
-21.16%2.88亿
-21.16%2.88亿
-23.82%3.04亿
-34.49%2.96亿
-28.08%2.94亿
自由现金流
229.77%6,052.5万
532.86%9,831.2万
-296.89%-5,581.4万
142.61%549.4万
131.82%1,253.3万
-178.89%-4,664.2万
-124.09%-2,271.2万
186.09%2,834.8万
-120.35%-1,289.5万
-201.49%-3,938.3万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
无保留意见
--
--
--
--
--
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
经营活动现金流(间接法)
持续经营活动现金净额 305.53%7,041.5万631.19%9,975.7万-266.78%-5,346.1万210.13%917.3万138.12%1,494.6万-156.98%-3,426万-48.56%-1,878万201.34%3,205.5万-112.78%-832.9万-199.95%-3,920.6万
持续经营净收入 129.35%4,530.7万147.53%3,094.4万84.61%-742.4万108.85%777.9万145.54%1,400.8万-106.57%-1.54亿125.40%1,250.1万-193.93%-4,823.9万-2,125.02%-8,786.6万-497.49%-3,075.9万
持续经营损益 764.54%93.7万438.93%88.8万12,533.33%37.9万---------176.63%-14.1万-193.57%-26.2万-50.00%3,000--------
递延税费 100.36%4万119.79%47.9万-435.62%-421万20.13%774.7万72.47%-397.6万-88.08%-1,120.2万21.75%-242.1万86.07%-78.6万-15.95%644.9万-195.20%-1,444.4万
其他非现金项目 85,700.00%85.6万6,027.27%65.2万-683.33%-3.5万233.33%6万1,378.57%17.9万0.00%-1,00089.72%-1.1万220.00%6,000-48.57%1.8万-118.42%-1.4万
营运资金变化 -38.00%1,547.6万307.67%6,622.9万-157.56%-4,460万53.94%-1,042.6万112.38%427.3万-61.41%2,496.3万-34.30%-3,189.2万658.17%7,748万-139.93%-2,263.7万-95.59%201.2万
-应收款项(增)减 158.15%3.24亿407.85%2.37亿68.81%-1.79亿746.30%1.23亿1,332.97%1.43亿-598.64%-5.57亿-55.11%4,659.6万-3,052.74%-5.73亿-1,097.69%-1,902.6万-147.98%-1,158.7万
-预付费用(增)减 131.03%1,275.5万47.14%1.09亿20.76%1.06亿-10.43%-3.2亿35.40%1.18亿-104.96%-4,110.4万2.89%7,439.1万11.37%8,738万-18.73%-2.9亿18.63%8,730.8万
-储备金(增)减 -152.78%-2.86亿-61.67%-1.25亿-75.15%1.53亿-4,943.62%-1.63亿-8,537.74%-1.51亿883.00%5.42亿-68.65%-7,754.5万5,974.20%6.18亿128.30%336.8万91.86%-174.6万
-递延购置成本(增)减 43.04%-326.7万17.64%121.4万323.37%263.8万1.43%-870.1万-51.17%158.2万-24.26%-573.6万-33.16%103.2万-317.90%-118.1万-24.48%-882.7万732.90%324万
-应计投资收入(增)减 61.38%-25.1万-14.33%-34.3万49.34%-15.3万-148.00%-3.6万328.46%28.1万-51.16%-65万-140.00%-30万-655.00%-30.2万157.69%7.5万8.89%-12.3万
-应付款项及应计费用(减)增 -664.09%-3,752.3万-52.81%-1.22亿-8.12%-1.05亿12.61%2.94亿-34.75%-1.05亿-76.68%665.2万40.61%-7,981.1万-44.27%-9,690.4万4.73%2.61亿-298.63%-7,809.6万
-未赚保费(减)增 -75.58%1,666.4万-244.23%-2,275.7万-133.48%-3,273.9万296.96%6,581.1万-39.42%634.9万152.37%6,823.4万72.13%-661.1万516.22%9,777.9万-149.70%-3,341.4万49.25%1,048万
-其他流动资产变化 77.41%186.1万150.48%132.5万-50.09%282.1万165.82%113.6万-1,257.54%-342.1万104.76%104.9万-242.12%-262.5万69.53%565.2万93.27%-172.6万83.69%-25.2万
-其他流动负债变化 -225.51%-1,270.8万-192.33%-1,198.5万99.48%729.1万-451.64%-246.5万23.06%-554.9万-26.30%1,012.5万260.88%1,298.1万173.58%365.5万-97.26%70.1万57.08%-721.2万
-其他营运资本变化 --0--0--0----------162.2万--0-5,595.66%-6,331万--------
非持续经营活动现金净额
经营活动现金流净额 305.53%7,041.5万631.19%9,975.7万-266.78%-5,346.1万210.13%917.3万138.12%1,494.6万-156.98%-3,426万-48.55%-1,878万201.34%3,205.5万-112.78%-832.9万-199.95%-3,920.6万
投资活动现金流
持续投资活动现金净额 366.25%1.01亿2,699.24%1.13亿293.77%3,770.9万-736.85%-8,662.5万232.11%3,652.5万69.58%-3,786.2万62.30%-435.5万2.77%-1,946.1万170.67%1,360.2万62.47%-2,764.8万
投资产品交易的现金净流 534.44%1.11亿27,202.13%1.15亿354.30%4,006.2万-556.55%-8,294.6万241.74%3,893.8万79.36%-2,548万96.98%-42.3万16.04%-1,575.4万204.10%1,816.8万62.49%-2,747.1万
固定资产交易的净现金流 20.13%-989万63.25%-144.5万36.53%-235.3万19.43%-367.9万-1,263.28%-241.3万-1,129.59%-1,238.2万-256.84%-393.2万-185.81%-370.7万-154.23%-456.6万57.96%-17.7万
非持续投资活动现金净额
投资活动现金流净额 366.25%1.01亿2,699.24%1.13亿293.77%3,770.9万-736.85%-8,662.5万232.11%3,652.5万69.58%-3,786.2万62.30%-435.5万2.77%-1,946.1万170.67%1,360.2万62.47%-2,764.8万
融资活动现金流
持续融资活动现金净额 387.58%1,454.6万216.28%2,180.4万52.49%-243.7万2.75%-244.2万44.83%-237.9万70.73%-505.8万169.78%689.4万-170.09%-512.9万-43.16%-251.1万-15.02%-431.2万
债务发行付款净额 -235.40%-968万-132.36%-244.1万-31.66%-243.7万-155.97%-244.2万-197.88%-236万432.67%714.9万892.33%754.3万-323.01%-185.1万-1,172.00%-95.4万223.51%241.1万
普通股发行/偿还的净现金流 435.91%2,466.6万4,117.26%2,466.6万--0--0--010.36%-734.3万91.46%-61.4万-72.04%-172.9万--0---500万
现金股利支付 99.77%-1.1万--0--0--099.33%-1.1万28.90%-477万100.06%1,0007.80%-154.9万5.42%-158.8万2.16%-163.4万
其他筹资活动现金流 -356.38%-42.9万-1,069.44%-42.1万--0--091.01%-8,00059.31%-9.4万40.00%-3.6万--0--3.1万29.92%-8.9万
非持续融资活动现金净额
融资活动现金流净额 387.58%1,454.6万216.28%2,180.4万52.49%-243.7万2.75%-244.2万44.83%-237.9万70.73%-505.8万169.78%689.4万-170.09%-512.9万-43.16%-251.1万-15.02%-431.2万
现金净流量
期初现金流 -21.16%2.88亿-21.47%2.39亿-13.36%2.57亿14.67%3.37亿-21.16%2.88亿-18.29%3.65亿-23.82%3.04亿-34.49%2.96亿-28.08%2.94亿-18.29%3.65亿
当期现金流变化 340.69%1.86亿1,545.47%2.35亿-343.66%-1,818.9万-2,992.61%-7,989.4万168.98%4,909.2万5.45%-7,718万52.34%-1,624.1万113.94%746.5万-93.75%276.2万-86.37%-7,116.6万
期末现金流 64.60%4.73亿64.60%4.73亿-21.47%2.39亿-13.36%2.57亿14.67%3.37亿-21.16%2.88亿-21.16%2.88亿-23.82%3.04亿-34.49%2.96亿-28.08%2.94亿
自由现金流 229.77%6,052.5万532.86%9,831.2万-296.89%-5,581.4万142.61%549.4万131.82%1,253.3万-178.89%-4,664.2万-124.09%-2,271.2万186.09%2,834.8万-120.35%-1,289.5万-201.49%-3,938.3万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见------------------

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