US Stock MarketDetailed Quotes

BHM Bluerock Homes Trust

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  • 17.500
  • 0.0000.00%
Close Aug 16 16:00 ET
69.21MMarket Cap-11666P/E (TTM)

Bluerock Homes Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-70.64%1.26M
150.41%1.11M
296.80%13.88M
201.05%7.09M
-29.65%4.68M
837.91%4.3M
-149.45%-2.2M
-64.34%3.5M
-236.01%-7.02M
116.77%6.66M
Net income from continuing operations
-338.59%-5.17M
39.94%-3.17M
-166.11%-15.77M
-82.90%-5.69M
-728.13%-3.62M
45.74%-1.18M
-334.05%-5.28M
-105.30%-5.93M
-6,583.33%-3.11M
-98.75%576K
Operating gains losses
69.57%-1.11M
-77.73%-1.96M
76.91%-2.26M
264.07%4.42M
61.10%-1.94M
-127.04%-3.64M
-111.95%-1.1M
91.03%-9.81M
-402.61%-2.69M
89.09%-4.99M
Depreciation and amortization
9.61%5.18M
-4.53%4.34M
2.70%19.28M
-0.60%5M
17.25%5.01M
0.79%4.72M
-4.96%4.54M
90.98%18.77M
62.93%5.03M
119.58%4.27M
Other non cash items
173.75%59K
0.00%-80K
0.00%-319K
0.00%-79K
0.00%-80K
0.00%-80K
0.00%-80K
-10.38%-319K
26.17%-79K
0.00%-80K
Change In working capital
-59.93%662K
22.19%-2.47M
199.35%925K
103.39%237K
-67.79%2.21M
218.00%1.65M
-272.95%-3.18M
113.67%309K
-362.33%-7M
842.52%6.87M
-Change in receivables
-318.63%-1.24M
0.61%-1.62M
-111.21%-344K
303.72%493K
-91.14%226K
167.66%569K
-202.00%-1.63M
198.02%3.07M
71.76%-242K
631.67%2.55M
-Change in payables and accrued expense
45.99%1.8M
56.11%-744K
145.98%1.27M
96.21%-256K
-53.99%1.99M
320.57%1.23M
-815.19%-1.7M
-417.24%-2.76M
-291.69%-6.76M
257.24%4.32M
-Change in other working capital
----
-170.67%-106K
----
----
----
----
--150K
----
----
----
Cash from discontinued investing activities
Operating cash flow
-70.64%1.26M
150.41%1.11M
296.80%13.88M
201.05%7.09M
-29.65%4.68M
837.91%4.3M
-149.45%-2.2M
-64.34%3.5M
-236.01%-7.02M
116.77%6.66M
Investing cash flow
Cash flow from continuing investing activities
-707.38%-5.91M
-222.02%-19.29M
85.48%-25.72M
-124.77%-20.78M
103.80%1.78M
99.24%-732K
75.99%-5.99M
-212.10%-177.18M
92.16%-9.25M
-151.17%-46.86M
Capital expenditure reported
38.89%-1.92M
15.31%-1.74M
48.91%-9.53M
0.47%-2.33M
78.05%-2.01M
9.78%-3.14M
44.04%-2.05M
-995.65%-18.65M
-911.69%-2.34M
-1,486.33%-9.17M
Net business purchase and sale
29.19%-211K
359.18%1.8M
107.02%3.28M
169.58%2.31M
108.05%872K
98.64%-298K
103.66%392K
-3,277.96%-46.72M
57.44%-3.32M
3.47%-10.84M
Net other investing changes
---3.57M
---5.6M
-149.12%-17.68M
----
----
----
----
202.52%36M
--0
195.47%9.45M
Cash from discontinued investing activities
Investing cash flow
-707.38%-5.91M
-222.02%-19.29M
85.48%-25.72M
-124.77%-20.78M
103.80%1.78M
99.24%-732K
75.99%-5.99M
-212.10%-177.18M
92.16%-9.25M
-151.17%-46.86M
Financing cash flow
Cash flow from continuing financing activities
49.55%29.08M
374.27%30.92M
-86.87%15.66M
104.88%4.49M
-88.55%3M
-77.16%19.44M
-111.28%-11.28M
241.26%119.31M
-179.12%-92.02M
139.65%26.23M
Net issuance payments of debt
-103.39%-700K
642.50%34.6M
-85.21%13.47M
-9.84%-402K
-106.96%-379K
-73.06%20.63M
-167.37%-6.38M
136.53%91.12M
-115.17%-366K
105.65%5.44M
Net preferred stock issuance
--30.22M
--8.57M
--8.7M
--5.28M
--3.42M
--0
--0
--0
--0
----
Cash dividends paid
---396K
---4.09M
---78K
----
----
--0
--0
--0
----
----
Net other financing activities
96.38%-43K
-66.46%-8.15M
-122.80%-6.43M
99.67%-307K
-100.16%-34K
-113.93%-1.19M
-105.41%-4.9M
-82.91%28.19M
-180.48%-91.65M
-31.09%20.79M
Cash from discontinued financing activities
Financing cash flow
49.55%29.08M
374.27%30.92M
-86.87%15.66M
104.88%4.49M
-88.55%3M
-77.16%19.44M
-111.28%-11.28M
241.26%119.31M
-179.12%-92.02M
139.65%26.23M
Net cash flow
Beginning cash position
57.09%99.13M
4.63%86.38M
-39.70%82.56M
-49.92%95.58M
-57.95%86.12M
-70.84%63.1M
-39.70%82.56M
155.79%136.93M
43.13%190.84M
95.34%204.82M
Current changes in cash
6.16%24.43M
165.49%12.75M
107.03%3.82M
91.50%-9.2M
167.76%9.47M
298.46%23.01M
-124.48%-19.46M
-165.19%-54.37M
-3,114.53%-108.28M
-149.05%-13.97M
End cash Position
43.48%123.56M
57.09%99.13M
4.63%86.38M
4.63%86.38M
-49.92%95.58M
-57.95%86.12M
-70.84%63.1M
-39.70%82.56M
-39.70%82.56M
43.13%190.84M
Free cash flow
-156.14%-654K
85.17%-630K
128.73%4.35M
150.94%4.77M
206.29%2.67M
128.69%1.17M
-647.29%-4.25M
-286.88%-15.15M
-289.81%-9.35M
-200.76%-2.51M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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(Q2)Jun 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -70.64%1.26M150.41%1.11M296.80%13.88M201.05%7.09M-29.65%4.68M837.91%4.3M-149.45%-2.2M-64.34%3.5M-236.01%-7.02M116.77%6.66M
Net income from continuing operations -338.59%-5.17M39.94%-3.17M-166.11%-15.77M-82.90%-5.69M-728.13%-3.62M45.74%-1.18M-334.05%-5.28M-105.30%-5.93M-6,583.33%-3.11M-98.75%576K
Operating gains losses 69.57%-1.11M-77.73%-1.96M76.91%-2.26M264.07%4.42M61.10%-1.94M-127.04%-3.64M-111.95%-1.1M91.03%-9.81M-402.61%-2.69M89.09%-4.99M
Depreciation and amortization 9.61%5.18M-4.53%4.34M2.70%19.28M-0.60%5M17.25%5.01M0.79%4.72M-4.96%4.54M90.98%18.77M62.93%5.03M119.58%4.27M
Other non cash items 173.75%59K0.00%-80K0.00%-319K0.00%-79K0.00%-80K0.00%-80K0.00%-80K-10.38%-319K26.17%-79K0.00%-80K
Change In working capital -59.93%662K22.19%-2.47M199.35%925K103.39%237K-67.79%2.21M218.00%1.65M-272.95%-3.18M113.67%309K-362.33%-7M842.52%6.87M
-Change in receivables -318.63%-1.24M0.61%-1.62M-111.21%-344K303.72%493K-91.14%226K167.66%569K-202.00%-1.63M198.02%3.07M71.76%-242K631.67%2.55M
-Change in payables and accrued expense 45.99%1.8M56.11%-744K145.98%1.27M96.21%-256K-53.99%1.99M320.57%1.23M-815.19%-1.7M-417.24%-2.76M-291.69%-6.76M257.24%4.32M
-Change in other working capital -----170.67%-106K------------------150K------------
Cash from discontinued investing activities
Operating cash flow -70.64%1.26M150.41%1.11M296.80%13.88M201.05%7.09M-29.65%4.68M837.91%4.3M-149.45%-2.2M-64.34%3.5M-236.01%-7.02M116.77%6.66M
Investing cash flow
Cash flow from continuing investing activities -707.38%-5.91M-222.02%-19.29M85.48%-25.72M-124.77%-20.78M103.80%1.78M99.24%-732K75.99%-5.99M-212.10%-177.18M92.16%-9.25M-151.17%-46.86M
Capital expenditure reported 38.89%-1.92M15.31%-1.74M48.91%-9.53M0.47%-2.33M78.05%-2.01M9.78%-3.14M44.04%-2.05M-995.65%-18.65M-911.69%-2.34M-1,486.33%-9.17M
Net business purchase and sale 29.19%-211K359.18%1.8M107.02%3.28M169.58%2.31M108.05%872K98.64%-298K103.66%392K-3,277.96%-46.72M57.44%-3.32M3.47%-10.84M
Net other investing changes ---3.57M---5.6M-149.12%-17.68M----------------202.52%36M--0195.47%9.45M
Cash from discontinued investing activities
Investing cash flow -707.38%-5.91M-222.02%-19.29M85.48%-25.72M-124.77%-20.78M103.80%1.78M99.24%-732K75.99%-5.99M-212.10%-177.18M92.16%-9.25M-151.17%-46.86M
Financing cash flow
Cash flow from continuing financing activities 49.55%29.08M374.27%30.92M-86.87%15.66M104.88%4.49M-88.55%3M-77.16%19.44M-111.28%-11.28M241.26%119.31M-179.12%-92.02M139.65%26.23M
Net issuance payments of debt -103.39%-700K642.50%34.6M-85.21%13.47M-9.84%-402K-106.96%-379K-73.06%20.63M-167.37%-6.38M136.53%91.12M-115.17%-366K105.65%5.44M
Net preferred stock issuance --30.22M--8.57M--8.7M--5.28M--3.42M--0--0--0--0----
Cash dividends paid ---396K---4.09M---78K----------0--0--0--------
Net other financing activities 96.38%-43K-66.46%-8.15M-122.80%-6.43M99.67%-307K-100.16%-34K-113.93%-1.19M-105.41%-4.9M-82.91%28.19M-180.48%-91.65M-31.09%20.79M
Cash from discontinued financing activities
Financing cash flow 49.55%29.08M374.27%30.92M-86.87%15.66M104.88%4.49M-88.55%3M-77.16%19.44M-111.28%-11.28M241.26%119.31M-179.12%-92.02M139.65%26.23M
Net cash flow
Beginning cash position 57.09%99.13M4.63%86.38M-39.70%82.56M-49.92%95.58M-57.95%86.12M-70.84%63.1M-39.70%82.56M155.79%136.93M43.13%190.84M95.34%204.82M
Current changes in cash 6.16%24.43M165.49%12.75M107.03%3.82M91.50%-9.2M167.76%9.47M298.46%23.01M-124.48%-19.46M-165.19%-54.37M-3,114.53%-108.28M-149.05%-13.97M
End cash Position 43.48%123.56M57.09%99.13M4.63%86.38M4.63%86.38M-49.92%95.58M-57.95%86.12M-70.84%63.1M-39.70%82.56M-39.70%82.56M43.13%190.84M
Free cash flow -156.14%-654K85.17%-630K128.73%4.35M150.94%4.77M206.29%2.67M128.69%1.17M-647.29%-4.25M-286.88%-15.15M-289.81%-9.35M-200.76%-2.51M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------------

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