US Stock MarketDetailed Quotes

HBT HBT Financial

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  • 24.214
  • +0.594+2.51%
Trading Jul 23 11:20 ET
764.18MMarket Cap10.81P/E (TTM)

HBT Financial 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
Assets
Cash cash equivalents and federal funds sold
65.78%200.85M
45.81%265.88M
21.94%148.92M
21.94%148.92M
50.22%123.58M
-25.60%121.15M
-49.66%182.35M
-70.39%122.12M
-70.39%122.12M
-82.67%82.27M
-Cash and cash equivalents
78.27%195.76M
47.00%260.73M
24.18%141.76M
24.18%141.76M
43.72%112.41M
-31.38%109.81M
-50.66%177.36M
-72.14%114.16M
-72.14%114.16M
-83.43%78.22M
-Restricted cash and investments
-55.17%5.09M
3.29%5.16M
-10.11%7.16M
-10.11%7.16M
175.68%11.17M
303.31%11.35M
82.22%4.99M
190.80%7.97M
190.80%7.97M
47.86%4.05M
Receivables
12.69%22.43M
13.87%23.12M
25.78%24.53M
25.78%24.53M
38.90%23.45M
39.52%19.9M
50.08%20.3M
30.90%19.51M
30.90%19.51M
26.20%16.88M
-Accounts receivable
12.69%22.43M
13.87%23.12M
25.78%24.53M
25.78%24.53M
38.90%23.45M
39.52%19.9M
50.08%20.3M
30.90%19.51M
30.90%19.51M
26.20%16.88M
Net loan
4.04%3.35B
4.64%3.31B
29.71%3.37B
29.71%3.37B
29.34%3.31B
32.20%3.22B
28.27%3.16B
4.63%2.6B
4.63%2.6B
19.97%2.56B
-Gross loan
4.08%3.39B
4.65%3.35B
29.98%3.41B
29.98%3.41B
29.59%3.35B
32.41%3.25B
28.56%3.2B
4.64%2.62B
4.64%2.62B
19.75%2.58B
-Allowance for loans and lease losses
7.91%40.81M
5.26%40.82M
58.09%40.05M
58.09%40.05M
55.08%38.86M
52.88%37.81M
58.22%38.78M
5.84%25.33M
5.84%25.33M
0.80%25.06M
Securities and investments
-12.78%1.19B
-14.59%1.19B
-7.44%1.29B
-7.44%1.29B
-8.52%1.29B
-7.89%1.36B
1.38%1.4B
8.29%1.39B
8.29%1.39B
15.18%1.41B
-Available for sale securities
7.63%5.84M
16.02%5.95M
17.16%5.87M
17.16%5.87M
8.71%5.41M
7.36%5.43M
-1.12%5.13M
-6.78%5.01M
-6.78%5.01M
-4.97%4.97M
-Held to maturity securities
-3.88%512.55M
-3.53%517.47M
-3.72%521.44M
-3.72%521.44M
-3.58%527.14M
-2.74%533.23M
22.46%536.43M
61.10%541.6M
61.10%541.6M
71.52%546.69M
-Short term investments
-18.68%669.06M
-21.72%669.02M
-9.97%759.46M
-9.97%759.46M
-11.78%753.16M
-11.02%822.79M
-8.49%854.62M
-10.47%843.52M
-10.47%843.52M
-4.74%853.74M
Long term equity investment
0.00%1.61M
0.00%1.61M
38.54%1.61M
38.54%1.61M
38.54%1.61M
38.54%1.61M
38.54%1.61M
0.00%1.17M
0.00%1.17M
0.00%1.17M
Bank owned life insurance
2.72%24.24M
2.65%24.07M
216.33%23.91M
216.33%23.91M
215.99%23.75M
215.68%23.59M
215.44%23.45M
2.22%7.56M
2.22%7.56M
--7.52M
Net PPE
1.05%65.71M
-0.56%64.76M
29.09%65.15M
29.09%65.15M
27.25%64.71M
26.43%65.03M
25.22%65.12M
-3.84%50.47M
-3.84%50.47M
3.07%50.85M
-Gross PPE
----
----
17.37%120.16M
17.37%120.16M
----
----
----
0.99%102.38M
0.99%102.38M
----
-Accumulated depreciation
----
----
-5.97%-55.01M
-5.97%-55.01M
----
----
----
-6.17%-51.91M
-6.17%-51.91M
----
Foreclosed assets
-89.61%320K
-91.75%277K
-71.88%852K
-71.88%852K
-42.40%1.52M
6.54%3.08M
10.29%3.36M
-7.57%3.03M
-7.57%3.03M
-63.95%2.64M
Assets held for sale
805.71%317K
34.89%317K
--0
--0
-87.54%35K
-89.03%35K
-78.26%235K
-83.82%235K
-83.82%235K
-80.78%281K
Goodwill and other intangible assets
-3.98%98.07M
-3.74%98.87M
145.45%99.5M
145.45%99.5M
147.43%101.38M
149.93%102.13M
152.09%102.71M
3.26%40.54M
3.26%40.54M
24.24%40.97M
-Goodwill
-0.09%59.82M
-0.09%59.82M
104.01%59.82M
104.01%59.82M
104.01%59.82M
104.20%59.88M
104.20%59.88M
0.00%29.32M
0.00%29.32M
24.14%29.32M
-Other intangible assets
-9.49%38.25M
-8.83%39.05M
253.78%39.68M
253.78%39.68M
256.72%41.56M
266.10%42.26M
275.05%42.83M
12.88%11.22M
12.88%11.22M
24.49%11.65M
Other assets
-3.98%59.69M
6.93%60.54M
-2.13%55.24M
-2.13%55.24M
21.49%58.54M
92.30%62.16M
121.59%56.62M
224.24%56.44M
224.24%56.44M
197.22%48.18M
Total assets
0.61%5.01B
0.53%5.04B
18.35%5.07B
18.35%5.07B
18.48%4.99B
17.80%4.98B
15.29%5.01B
-0.64%4.29B
-0.64%4.29B
6.71%4.21B
Liabilities
Total deposits
3.70%4.32B
1.16%4.36B
22.70%4.4B
22.70%4.4B
15.22%4.2B
12.49%4.16B
12.96%4.31B
-4.04%3.59B
-4.04%3.59B
6.55%3.64B
Federal funds purchased and securities sold under agreement to repurchase
-24.27%29.33M
-8.75%31.86M
-1.48%42.44M
-1.48%42.44M
-39.95%28.9M
-24.20%38.73M
-31.31%34.92M
-29.67%43.08M
-29.67%43.08M
0.36%48.13M
Long term debt and capital lease obligation
-60.68%106.07M
-37.24%105.02M
-55.78%104.89M
-55.78%104.89M
96.79%269.88M
249.88%269.77M
117.14%167.34M
207.90%237.18M
207.90%237.18M
78.11%137.14M
-Long term debt
-60.68%106.07M
-37.24%105.02M
-55.78%104.89M
-55.78%104.89M
96.79%269.88M
249.88%269.77M
117.14%167.34M
207.90%237.18M
207.90%237.18M
78.11%137.14M
Other liabilities
-17.90%42.64M
-8.97%46.37M
-23.82%34.91M
-23.82%34.91M
51.42%38.67M
159.84%51.94M
133.24%50.94M
76.91%45.82M
76.91%45.82M
2.58%25.54M
Total liabilities
-0.62%4.5B
-0.44%4.54B
17.14%4.58B
17.14%4.58B
17.68%4.54B
17.53%4.52B
15.08%4.56B
0.27%3.91B
0.27%3.91B
7.98%3.85B
Shareholders'equity
Share capital
0.31%328K
0.31%328K
11.60%327K
11.60%327K
11.60%327K
11.60%327K
11.60%327K
0.00%293K
0.00%293K
6.55%293K
-common stock
0.31%328K
0.31%328K
11.60%327K
11.60%327K
11.60%327K
11.60%327K
11.60%327K
0.00%293K
0.00%293K
6.55%293K
-Preferred stock
----
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
20.10%290.39M
21.67%278.35M
15.97%269.05M
15.97%269.05M
14.57%256.05M
13.77%241.78M
12.66%228.78M
19.51%232M
19.51%232M
20.86%223.5M
Less: Treasury stock
48.85%23.02M
95.14%22.01M
91.93%18.6M
91.93%18.6M
77.28%17.18M
87.30%15.47M
92.80%11.28M
97.49%9.69M
97.49%9.69M
317.09%9.69M
Gains losses not affecting retained earnings
7.83%241.77M
3.33%240.01M
58.06%238.71M
58.06%238.71M
49.72%217.05M
32.46%224.21M
25.12%232.27M
-32.08%151.02M
-32.08%151.02M
-26.01%144.97M
Total stockholders'equity
13.00%509.47M
10.35%496.68M
31.01%489.5M
31.01%489.5M
27.06%456.25M
20.61%450.85M
17.47%450.1M
-9.29%373.63M
-9.29%373.63M
-5.21%359.07M
Total equity
13.00%509.47M
10.35%496.68M
31.01%489.5M
31.01%489.5M
27.06%456.25M
20.61%450.85M
17.47%450.1M
-9.29%373.63M
-9.29%373.63M
-5.21%359.07M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
(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
Assets
Cash cash equivalents and federal funds sold 65.78%200.85M45.81%265.88M21.94%148.92M21.94%148.92M50.22%123.58M-25.60%121.15M-49.66%182.35M-70.39%122.12M-70.39%122.12M-82.67%82.27M
-Cash and cash equivalents 78.27%195.76M47.00%260.73M24.18%141.76M24.18%141.76M43.72%112.41M-31.38%109.81M-50.66%177.36M-72.14%114.16M-72.14%114.16M-83.43%78.22M
-Restricted cash and investments -55.17%5.09M3.29%5.16M-10.11%7.16M-10.11%7.16M175.68%11.17M303.31%11.35M82.22%4.99M190.80%7.97M190.80%7.97M47.86%4.05M
Receivables 12.69%22.43M13.87%23.12M25.78%24.53M25.78%24.53M38.90%23.45M39.52%19.9M50.08%20.3M30.90%19.51M30.90%19.51M26.20%16.88M
-Accounts receivable 12.69%22.43M13.87%23.12M25.78%24.53M25.78%24.53M38.90%23.45M39.52%19.9M50.08%20.3M30.90%19.51M30.90%19.51M26.20%16.88M
Net loan 4.04%3.35B4.64%3.31B29.71%3.37B29.71%3.37B29.34%3.31B32.20%3.22B28.27%3.16B4.63%2.6B4.63%2.6B19.97%2.56B
-Gross loan 4.08%3.39B4.65%3.35B29.98%3.41B29.98%3.41B29.59%3.35B32.41%3.25B28.56%3.2B4.64%2.62B4.64%2.62B19.75%2.58B
-Allowance for loans and lease losses 7.91%40.81M5.26%40.82M58.09%40.05M58.09%40.05M55.08%38.86M52.88%37.81M58.22%38.78M5.84%25.33M5.84%25.33M0.80%25.06M
Securities and investments -12.78%1.19B-14.59%1.19B-7.44%1.29B-7.44%1.29B-8.52%1.29B-7.89%1.36B1.38%1.4B8.29%1.39B8.29%1.39B15.18%1.41B
-Available for sale securities 7.63%5.84M16.02%5.95M17.16%5.87M17.16%5.87M8.71%5.41M7.36%5.43M-1.12%5.13M-6.78%5.01M-6.78%5.01M-4.97%4.97M
-Held to maturity securities -3.88%512.55M-3.53%517.47M-3.72%521.44M-3.72%521.44M-3.58%527.14M-2.74%533.23M22.46%536.43M61.10%541.6M61.10%541.6M71.52%546.69M
-Short term investments -18.68%669.06M-21.72%669.02M-9.97%759.46M-9.97%759.46M-11.78%753.16M-11.02%822.79M-8.49%854.62M-10.47%843.52M-10.47%843.52M-4.74%853.74M
Long term equity investment 0.00%1.61M0.00%1.61M38.54%1.61M38.54%1.61M38.54%1.61M38.54%1.61M38.54%1.61M0.00%1.17M0.00%1.17M0.00%1.17M
Bank owned life insurance 2.72%24.24M2.65%24.07M216.33%23.91M216.33%23.91M215.99%23.75M215.68%23.59M215.44%23.45M2.22%7.56M2.22%7.56M--7.52M
Net PPE 1.05%65.71M-0.56%64.76M29.09%65.15M29.09%65.15M27.25%64.71M26.43%65.03M25.22%65.12M-3.84%50.47M-3.84%50.47M3.07%50.85M
-Gross PPE --------17.37%120.16M17.37%120.16M------------0.99%102.38M0.99%102.38M----
-Accumulated depreciation ---------5.97%-55.01M-5.97%-55.01M-------------6.17%-51.91M-6.17%-51.91M----
Foreclosed assets -89.61%320K-91.75%277K-71.88%852K-71.88%852K-42.40%1.52M6.54%3.08M10.29%3.36M-7.57%3.03M-7.57%3.03M-63.95%2.64M
Assets held for sale 805.71%317K34.89%317K--0--0-87.54%35K-89.03%35K-78.26%235K-83.82%235K-83.82%235K-80.78%281K
Goodwill and other intangible assets -3.98%98.07M-3.74%98.87M145.45%99.5M145.45%99.5M147.43%101.38M149.93%102.13M152.09%102.71M3.26%40.54M3.26%40.54M24.24%40.97M
-Goodwill -0.09%59.82M-0.09%59.82M104.01%59.82M104.01%59.82M104.01%59.82M104.20%59.88M104.20%59.88M0.00%29.32M0.00%29.32M24.14%29.32M
-Other intangible assets -9.49%38.25M-8.83%39.05M253.78%39.68M253.78%39.68M256.72%41.56M266.10%42.26M275.05%42.83M12.88%11.22M12.88%11.22M24.49%11.65M
Other assets -3.98%59.69M6.93%60.54M-2.13%55.24M-2.13%55.24M21.49%58.54M92.30%62.16M121.59%56.62M224.24%56.44M224.24%56.44M197.22%48.18M
Total assets 0.61%5.01B0.53%5.04B18.35%5.07B18.35%5.07B18.48%4.99B17.80%4.98B15.29%5.01B-0.64%4.29B-0.64%4.29B6.71%4.21B
Liabilities
Total deposits 3.70%4.32B1.16%4.36B22.70%4.4B22.70%4.4B15.22%4.2B12.49%4.16B12.96%4.31B-4.04%3.59B-4.04%3.59B6.55%3.64B
Federal funds purchased and securities sold under agreement to repurchase -24.27%29.33M-8.75%31.86M-1.48%42.44M-1.48%42.44M-39.95%28.9M-24.20%38.73M-31.31%34.92M-29.67%43.08M-29.67%43.08M0.36%48.13M
Long term debt and capital lease obligation -60.68%106.07M-37.24%105.02M-55.78%104.89M-55.78%104.89M96.79%269.88M249.88%269.77M117.14%167.34M207.90%237.18M207.90%237.18M78.11%137.14M
-Long term debt -60.68%106.07M-37.24%105.02M-55.78%104.89M-55.78%104.89M96.79%269.88M249.88%269.77M117.14%167.34M207.90%237.18M207.90%237.18M78.11%137.14M
Other liabilities -17.90%42.64M-8.97%46.37M-23.82%34.91M-23.82%34.91M51.42%38.67M159.84%51.94M133.24%50.94M76.91%45.82M76.91%45.82M2.58%25.54M
Total liabilities -0.62%4.5B-0.44%4.54B17.14%4.58B17.14%4.58B17.68%4.54B17.53%4.52B15.08%4.56B0.27%3.91B0.27%3.91B7.98%3.85B
Shareholders'equity
Share capital 0.31%328K0.31%328K11.60%327K11.60%327K11.60%327K11.60%327K11.60%327K0.00%293K0.00%293K6.55%293K
-common stock 0.31%328K0.31%328K11.60%327K11.60%327K11.60%327K11.60%327K11.60%327K0.00%293K0.00%293K6.55%293K
-Preferred stock ------0--0--0--0--0--0--0--0--0
Retained earnings 20.10%290.39M21.67%278.35M15.97%269.05M15.97%269.05M14.57%256.05M13.77%241.78M12.66%228.78M19.51%232M19.51%232M20.86%223.5M
Less: Treasury stock 48.85%23.02M95.14%22.01M91.93%18.6M91.93%18.6M77.28%17.18M87.30%15.47M92.80%11.28M97.49%9.69M97.49%9.69M317.09%9.69M
Gains losses not affecting retained earnings 7.83%241.77M3.33%240.01M58.06%238.71M58.06%238.71M49.72%217.05M32.46%224.21M25.12%232.27M-32.08%151.02M-32.08%151.02M-26.01%144.97M
Total stockholders'equity 13.00%509.47M10.35%496.68M31.01%489.5M31.01%489.5M27.06%456.25M20.61%450.85M17.47%450.1M-9.29%373.63M-9.29%373.63M-5.21%359.07M
Total equity 13.00%509.47M10.35%496.68M31.01%489.5M31.01%489.5M27.06%456.25M20.61%450.85M17.47%450.1M-9.29%373.63M-9.29%373.63M-5.21%359.07M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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Symbol
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