US Stock MarketDetailed Quotes

COOP Mr. Cooper Group

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  • 96.840
  • +1.480+1.55%
Close Dec 13 16:00 ET
  • 96.840
  • 0.0000.00%
Post 20:01 ET
6.20BMarket Cap12.45P/E (TTM)

Mr. Cooper Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
32.55%733M
24.18%642M
8.24%578M
8.35%571M
8.35%571M
4.34%553M
0.58%517M
-7.77%534M
-41.12%527M
-41.12%527M
-Cash and cash equivalents
32.55%733M
24.18%642M
8.24%578M
8.35%571M
8.35%571M
4.34%553M
0.58%517M
-7.77%534M
-41.12%527M
-41.12%527M
Receivables
24.01%940M
16.46%934M
-2.04%914M
-2.26%996M
-2.26%996M
-8.78%758M
-10.09%802M
-10.63%933M
-17.02%1.02B
-17.02%1.02B
-Accounts receivable
14.43%1.06B
13.05%1.08B
-2.13%1.06B
0.87%1.17B
0.87%1.17B
-5.34%922M
-8.06%958M
-9.62%1.08B
-17.13%1.16B
-17.13%1.16B
-Recievables adjustments allowances
29.88%-115M
4.49%-149M
2.70%-144M
-24.09%-170M
-24.09%-170M
-14.69%-164M
-4.00%-156M
2.63%-148M
17.96%-137M
17.96%-137M
Restricted cash
23.18%186M
-4.71%162M
18.05%157M
-3.43%169M
-3.43%169M
2.03%151M
47.83%170M
2.31%133M
19.86%175M
19.86%175M
Total current assets
62.25%3.82B
22.46%3.28B
7.17%2.72B
1.87%2.66B
1.87%2.66B
-23.79%2.36B
-25.52%2.68B
-52.54%2.54B
-60.69%2.61B
-60.69%2.61B
Non current assets
Net PPE
-1.69%58M
-6.56%57M
-14.06%55M
-18.46%53M
-18.46%53M
-14.49%59M
-15.28%61M
-14.67%64M
-33.67%65M
-33.67%65M
-Gross PPE
7.69%210M
2.97%208M
8.60%202M
3.74%194M
3.74%194M
5.41%195M
9.78%202M
2.20%186M
-15.00%187M
-15.00%187M
-Accumulated depreciation
-11.76%-152M
-7.09%-151M
-20.49%-147M
-15.57%-141M
-15.57%-141M
-17.24%-136M
-25.89%-141M
-14.02%-122M
0.00%-122M
0.00%-122M
Goodwill and other intangible assets
17.57%10.2B
44.14%10.52B
48.88%9.96B
36.52%9.26B
36.52%9.26B
32.71%8.68B
16.16%7.3B
9.01%6.69B
55.66%6.78B
55.66%6.78B
-Goodwill
0.00%141M
17.50%141M
17.50%141M
17.50%141M
17.50%141M
17.50%141M
0.00%120M
0.00%120M
0.00%120M
0.00%120M
-Other intangible assets
17.86%10.06B
44.59%10.38B
49.45%9.82B
36.87%9.12B
36.87%9.12B
32.99%8.53B
16.47%7.18B
9.19%6.57B
57.23%6.66B
57.23%6.66B
Non current deferred assets
-36.87%315M
-46.58%351M
-39.75%426M
-32.86%472M
-32.86%472M
-29.82%499M
-12.40%657M
-10.96%707M
-29.06%703M
-29.06%703M
Other non current assets
-2.50%1.79B
-35.59%1.58B
-39.33%1.61B
-33.04%1.75B
-33.04%1.75B
-23.63%1.84B
11.60%2.45B
24.39%2.66B
23.91%2.61B
23.91%2.61B
Total non current assets
11.68%12.37B
19.47%12.51B
19.13%12.06B
13.49%11.53B
13.49%11.53B
13.85%11.07B
12.53%10.47B
10.67%10.12B
34.52%10.16B
34.52%10.16B
Total assets
20.55%16.19B
20.08%15.78B
16.73%14.78B
11.11%14.2B
11.11%14.2B
4.78%13.43B
1.93%13.14B
-12.65%12.66B
-10.05%12.78B
-10.05%12.78B
Liabilities
Current liabilities
Payables
-6.26%1.84B
-29.69%1.68B
-33.69%1.69B
-24.23%2B
-24.23%2B
-19.11%1.96B
7.74%2.4B
15.75%2.55B
10.08%2.63B
10.08%2.63B
-accounts payable
-6.26%1.84B
-29.69%1.68B
-33.69%1.69B
-24.23%2B
-24.23%2B
-19.11%1.96B
7.74%2.4B
15.75%2.55B
10.08%2.63B
10.08%2.63B
Current debt and capital lease obligation
23.53%4.38B
40.23%4.93B
39.30%4.09B
49.12%4.3B
49.12%4.3B
15.47%3.55B
3.08%3.51B
-38.81%2.93B
-42.27%2.89B
-42.27%2.89B
-Current debt
23.53%4.38B
40.23%4.93B
39.30%4.09B
49.12%4.3B
49.12%4.3B
15.47%3.55B
3.08%3.51B
-38.81%2.93B
-42.27%2.89B
-42.27%2.89B
Current liabilities
12.91%6.22B
11.88%6.61B
5.36%5.78B
14.12%6.3B
14.12%6.3B
0.20%5.51B
4.92%5.91B
-21.63%5.48B
-25.32%5.52B
-25.32%5.52B
Non current liabilities
Long term debt and capital lease obligation
55.23%4.89B
54.75%4.14B
54.65%4.14B
17.88%3.15B
17.88%3.15B
17.73%3.15B
0.15%2.68B
0.19%2.68B
0.11%2.67B
0.11%2.67B
-Long term debt
55.23%4.89B
54.75%4.14B
54.65%4.14B
17.88%3.15B
17.88%3.15B
17.73%3.15B
0.15%2.68B
0.19%2.68B
0.11%2.67B
0.11%2.67B
Other non current liabilities
-5.14%443M
-8.92%439M
-11.13%455M
-11.74%466M
-11.74%466M
-13.36%467M
-13.31%482M
-39.41%512M
-32.13%528M
-32.13%528M
Total non current liabilities
47.43%5.33B
45.03%4.58B
44.09%4.59B
13.00%3.62B
13.00%3.62B
12.52%3.61B
-2.17%3.16B
-9.33%3.19B
-7.16%3.2B
-7.16%3.2B
Total liabilities
26.58%11.55B
23.43%11.19B
19.59%10.37B
13.71%9.91B
13.71%9.91B
4.74%9.12B
2.34%9.07B
-17.52%8.67B
-19.54%8.72B
-19.54%8.72B
Shareholders'equity
Share capital
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-common stock
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
Retained earnings
12.01%4.77B
17.73%4.69B
16.78%4.48B
13.15%4.3B
13.15%4.3B
11.97%4.26B
7.94%3.98B
8.54%3.84B
32.06%3.8B
32.06%3.8B
Paid-in capital
-1.20%1.07B
-1.49%1.06B
-1.41%1.05B
-1.54%1.09B
-1.54%1.09B
-1.64%1.08B
-1.83%1.07B
-1.75%1.07B
-1.08%1.1B
-1.08%1.1B
Less: Treasury stock
15.86%1.2B
17.91%1.15B
22.83%1.13B
30.35%1.11B
30.35%1.11B
29.90%1.03B
30.79%977M
42.19%920M
34.92%850M
34.92%850M
Total stockholders'equity
7.76%4.64B
12.63%4.59B
10.51%4.41B
5.55%4.28B
5.55%4.28B
4.85%4.3B
1.07%4.08B
0.25%3.99B
20.53%4.06B
20.53%4.06B
Noncontrolling interests
----
----
--0
--0
--0
--0
--0
--0
--0
--0
Total equity
7.76%4.64B
12.63%4.59B
10.51%4.41B
5.55%4.28B
5.55%4.28B
4.85%4.3B
1.04%4.08B
0.23%3.99B
20.49%4.06B
20.49%4.06B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 32.55%733M24.18%642M8.24%578M8.35%571M8.35%571M4.34%553M0.58%517M-7.77%534M-41.12%527M-41.12%527M
-Cash and cash equivalents 32.55%733M24.18%642M8.24%578M8.35%571M8.35%571M4.34%553M0.58%517M-7.77%534M-41.12%527M-41.12%527M
Receivables 24.01%940M16.46%934M-2.04%914M-2.26%996M-2.26%996M-8.78%758M-10.09%802M-10.63%933M-17.02%1.02B-17.02%1.02B
-Accounts receivable 14.43%1.06B13.05%1.08B-2.13%1.06B0.87%1.17B0.87%1.17B-5.34%922M-8.06%958M-9.62%1.08B-17.13%1.16B-17.13%1.16B
-Recievables adjustments allowances 29.88%-115M4.49%-149M2.70%-144M-24.09%-170M-24.09%-170M-14.69%-164M-4.00%-156M2.63%-148M17.96%-137M17.96%-137M
Restricted cash 23.18%186M-4.71%162M18.05%157M-3.43%169M-3.43%169M2.03%151M47.83%170M2.31%133M19.86%175M19.86%175M
Total current assets 62.25%3.82B22.46%3.28B7.17%2.72B1.87%2.66B1.87%2.66B-23.79%2.36B-25.52%2.68B-52.54%2.54B-60.69%2.61B-60.69%2.61B
Non current assets
Net PPE -1.69%58M-6.56%57M-14.06%55M-18.46%53M-18.46%53M-14.49%59M-15.28%61M-14.67%64M-33.67%65M-33.67%65M
-Gross PPE 7.69%210M2.97%208M8.60%202M3.74%194M3.74%194M5.41%195M9.78%202M2.20%186M-15.00%187M-15.00%187M
-Accumulated depreciation -11.76%-152M-7.09%-151M-20.49%-147M-15.57%-141M-15.57%-141M-17.24%-136M-25.89%-141M-14.02%-122M0.00%-122M0.00%-122M
Goodwill and other intangible assets 17.57%10.2B44.14%10.52B48.88%9.96B36.52%9.26B36.52%9.26B32.71%8.68B16.16%7.3B9.01%6.69B55.66%6.78B55.66%6.78B
-Goodwill 0.00%141M17.50%141M17.50%141M17.50%141M17.50%141M17.50%141M0.00%120M0.00%120M0.00%120M0.00%120M
-Other intangible assets 17.86%10.06B44.59%10.38B49.45%9.82B36.87%9.12B36.87%9.12B32.99%8.53B16.47%7.18B9.19%6.57B57.23%6.66B57.23%6.66B
Non current deferred assets -36.87%315M-46.58%351M-39.75%426M-32.86%472M-32.86%472M-29.82%499M-12.40%657M-10.96%707M-29.06%703M-29.06%703M
Other non current assets -2.50%1.79B-35.59%1.58B-39.33%1.61B-33.04%1.75B-33.04%1.75B-23.63%1.84B11.60%2.45B24.39%2.66B23.91%2.61B23.91%2.61B
Total non current assets 11.68%12.37B19.47%12.51B19.13%12.06B13.49%11.53B13.49%11.53B13.85%11.07B12.53%10.47B10.67%10.12B34.52%10.16B34.52%10.16B
Total assets 20.55%16.19B20.08%15.78B16.73%14.78B11.11%14.2B11.11%14.2B4.78%13.43B1.93%13.14B-12.65%12.66B-10.05%12.78B-10.05%12.78B
Liabilities
Current liabilities
Payables -6.26%1.84B-29.69%1.68B-33.69%1.69B-24.23%2B-24.23%2B-19.11%1.96B7.74%2.4B15.75%2.55B10.08%2.63B10.08%2.63B
-accounts payable -6.26%1.84B-29.69%1.68B-33.69%1.69B-24.23%2B-24.23%2B-19.11%1.96B7.74%2.4B15.75%2.55B10.08%2.63B10.08%2.63B
Current debt and capital lease obligation 23.53%4.38B40.23%4.93B39.30%4.09B49.12%4.3B49.12%4.3B15.47%3.55B3.08%3.51B-38.81%2.93B-42.27%2.89B-42.27%2.89B
-Current debt 23.53%4.38B40.23%4.93B39.30%4.09B49.12%4.3B49.12%4.3B15.47%3.55B3.08%3.51B-38.81%2.93B-42.27%2.89B-42.27%2.89B
Current liabilities 12.91%6.22B11.88%6.61B5.36%5.78B14.12%6.3B14.12%6.3B0.20%5.51B4.92%5.91B-21.63%5.48B-25.32%5.52B-25.32%5.52B
Non current liabilities
Long term debt and capital lease obligation 55.23%4.89B54.75%4.14B54.65%4.14B17.88%3.15B17.88%3.15B17.73%3.15B0.15%2.68B0.19%2.68B0.11%2.67B0.11%2.67B
-Long term debt 55.23%4.89B54.75%4.14B54.65%4.14B17.88%3.15B17.88%3.15B17.73%3.15B0.15%2.68B0.19%2.68B0.11%2.67B0.11%2.67B
Other non current liabilities -5.14%443M-8.92%439M-11.13%455M-11.74%466M-11.74%466M-13.36%467M-13.31%482M-39.41%512M-32.13%528M-32.13%528M
Total non current liabilities 47.43%5.33B45.03%4.58B44.09%4.59B13.00%3.62B13.00%3.62B12.52%3.61B-2.17%3.16B-9.33%3.19B-7.16%3.2B-7.16%3.2B
Total liabilities 26.58%11.55B23.43%11.19B19.59%10.37B13.71%9.91B13.71%9.91B4.74%9.12B2.34%9.07B-17.52%8.67B-19.54%8.72B-19.54%8.72B
Shareholders'equity
Share capital 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
-common stock 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
Retained earnings 12.01%4.77B17.73%4.69B16.78%4.48B13.15%4.3B13.15%4.3B11.97%4.26B7.94%3.98B8.54%3.84B32.06%3.8B32.06%3.8B
Paid-in capital -1.20%1.07B-1.49%1.06B-1.41%1.05B-1.54%1.09B-1.54%1.09B-1.64%1.08B-1.83%1.07B-1.75%1.07B-1.08%1.1B-1.08%1.1B
Less: Treasury stock 15.86%1.2B17.91%1.15B22.83%1.13B30.35%1.11B30.35%1.11B29.90%1.03B30.79%977M42.19%920M34.92%850M34.92%850M
Total stockholders'equity 7.76%4.64B12.63%4.59B10.51%4.41B5.55%4.28B5.55%4.28B4.85%4.3B1.07%4.08B0.25%3.99B20.53%4.06B20.53%4.06B
Noncontrolling interests ----------0--0--0--0--0--0--0--0
Total equity 7.76%4.64B12.63%4.59B10.51%4.41B5.55%4.28B5.55%4.28B4.85%4.3B1.04%4.08B0.23%3.99B20.49%4.06B20.49%4.06B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
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