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HBT HBT Financial

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  • 21.010
  • -0.290-1.36%
Close Oct 2 16:00 ET
  • 21.010
  • 0.0000.00%
Post 16:02 ET
663.06MMarket Cap9.38P/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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
35.22%19.8M
24.58%26.77M
-9.31%65.83M
-44.71%12.98M
-8.72%16.72M
53.21%14.64M
1.18%21.49M
68.71%72.59M
43.81%23.48M
494.13%18.31M
Net income from continuing operations
-2.18%18.07M
65.70%15.26M
16.63%65.84M
40.38%18.45M
26.16%19.72M
31.15%18.47M
-32.31%9.21M
0.33%56.46M
-3.34%13.14M
13.94%15.63M
Operating gains losses
7.71%-443K
329.41%3.14M
107.79%129K
-92.89%-407K
179.17%285K
-56.86%-480K
193.72%731K
71.49%-1.66M
77.24%-211K
70.92%-360K
Depreciation and amortization
-6.05%1.44M
10.44%1.44M
47.55%5.78M
65.28%1.47M
46.28%1.47M
51.48%1.54M
29.27%1.3M
-5.14%3.92M
-14.05%887K
0.30%1.01M
Deferred tax
-122.97%-432K
206.95%1.15M
230.76%3.82M
149.55%1.33M
537.82%1.69M
542.59%1.88M
-290.64%-1.08M
-200.38%-2.92M
-635.87%-2.67M
-130.35%-386K
Other non cashItems
191.35%3.08M
63.13%-976K
-88.17%671K
-19.30%1.51M
54.61%5.18M
-5.37%-3.37M
-172.58%-2.65M
-62.48%5.67M
-57.20%1.88M
325.98%3.35M
Change in working capital
15.73%-2.94M
-20.57%5.81M
-352.57%-18.66M
-201.49%-10.21M
-351.36%-12.28M
-41.53%-3.48M
192.06%7.32M
141.97%7.39M
2,566.42%10.06M
61.98%-2.72M
-Change in receivables
72.57%692K
-38.87%1.42M
58.41%-1.92M
58.59%-1.09M
-35.49%-3.55M
154.48%401K
68.70%2.32M
-2,018.75%-4.61M
-310.80%-2.63M
-342.98%-2.62M
-Change in other current assets
123.50%734K
-166.75%-5.65M
137.29%3.79M
-14.97%-9.2M
504.61%7.64M
-5,105.00%-3.12M
4,172.12%8.47M
-72,471.43%-10.16M
-3,410.09%-8M
-219.63%-1.89M
-Change in other current liabilities
-583.22%-4.2M
403.57%10.21M
-189.46%-19.97M
-98.88%233K
-987.31%-16.22M
62.19%-614K
-343.94%-3.36M
225.48%22.32M
4,046.60%20.73M
130.60%1.83M
-Change in other working capital
-12.93%-166K
-51.85%-164K
-245.12%-566K
-276.19%-158K
-273.17%-153K
-258.54%-147K
-170.00%-108K
-300.00%-164K
---42K
---41K
Cash from discontinued operating activities
Operating cash flow
35.22%19.8M
24.58%26.77M
-9.31%65.83M
-44.71%12.98M
-8.72%16.72M
53.21%14.64M
1.18%21.49M
68.71%72.59M
43.81%23.48M
494.13%18.31M
Investing cash flow
Cash flow from continuing investing activities
-5.33%-34.24M
-31.83%153.41M
139.59%132.66M
-33.40%-28.63M
66.26%-31.24M
62.92%-32.51M
268.69%225.04M
4.14%-335.12M
89.57%-21.46M
-35.34%-92.59M
Proceeds payment in interest bearing deposits in bank
-102.01%-5K
---6K
-153.61%-260K
---9K
---500K
--249K
--0
97.96%485K
--0
--0
Net investment purchase and sale
-71.81%5.95M
-46.88%91.52M
230.96%284.87M
29.25%27.98M
76.84%63.49M
116.68%21.09M
215.93%172.31M
27.58%-217.52M
141.94%21.65M
146.63%35.9M
Net proceeds payment for loan
18.30%-38.66M
-2.66%60.31M
-25.50%-142.65M
-54.99%-60.29M
23.68%-97.01M
-225.56%-47.32M
322.99%61.96M
-126.93%-113.67M
74.82%-38.9M
-1,607.41%-127.11M
Net PPE purchase and sale
-131.69%-1.69M
-109.11%-1.29M
-185.49%-2.91M
-242.90%-1.18M
-115.08%-385K
-252.17%-729K
-112.80%-615K
-0.89%-1.02M
-35.29%-345K
10.95%-179K
Net business purchase and sale
--0
--0
---14.45M
--0
--0
--0
---14.45M
--0
--0
--0
Net other investing changes
102.91%169K
-50.82%2.87M
336.89%8.07M
225.74%4.87M
362.42%3.17M
-817.82%-5.8M
577.03%5.84M
-153.57%-3.41M
-177.10%-3.87M
-441.24%-1.21M
Cash from discontinued investing activities
Investing cash flow
-5.33%-34.24M
-31.83%153.41M
139.59%132.66M
-33.40%-28.63M
66.26%-31.24M
62.92%-32.51M
268.69%225.04M
4.14%-335.12M
89.57%-21.46M
-35.34%-92.59M
Financing cash flow
Cash flow from continuing financing activities
-2.21%-50.53M
66.65%-61.22M
-426.22%-171.4M
32.60%44.99M
320.65%16.63M
59.09%-49.44M
-396.68%-183.57M
-108.07%-32.57M
-73.26%33.93M
9.68%-7.54M
Change in federal funds and securities sold for repurchase
-166.51%-2.53M
-29.60%-10.58M
96.48%-639K
368.21%13.54M
-231.95%-9.83M
1,382.49%3.81M
21.68%-8.16M
-258.87%-18.18M
-154.77%-5.05M
-346.54%-2.96M
Increase decrease in deposit
71.31%-41.85M
-1,380.03%-40.83M
162.53%94.4M
460.74%203.44M
157.49%33.64M
-27.92%-145.87M
-95.91%3.19M
-135.43%-150.97M
-141.13%-56.4M
-1,052.13%-58.51M
Net issuance payments of debt
-99.11%907K
--0
-246.37%-234.2M
-265.13%-165.13M
-100.04%-25K
--102.29M
---171.33M
1,377.96%160M
898.72%100M
--60M
Net commonstock issuance
75.81%-1.01M
-114.74%-3.41M
-86.22%-8.91M
---1.42M
-19.55%-1.71M
-73.92%-4.19M
-68.40%-1.59M
2.51%-4.78M
--0
-317.49%-1.43M
Cash dividends paid
-10.20%-6.04M
-10.24%-6.07M
-17.70%-21.87M
-17.58%-5.45M
-17.34%-5.44M
-17.68%-5.48M
-18.20%-5.51M
-10.93%-18.58M
-5.71%-4.63M
-12.46%-4.64M
Net other financing activities
--0
-82.87%-331K
-217.54%-181K
--0
--0
--0
-217.54%-181K
---57K
--0
--0
Cash from discontinued financing activities
Financing cash flow
-2.21%-50.53M
66.65%-61.22M
-426.22%-171.4M
32.60%44.99M
320.65%16.63M
59.09%-49.44M
-396.68%-183.57M
-108.07%-32.57M
-73.26%33.93M
9.68%-7.54M
Net cash flow
Beginning cash position
46.92%260.21M
23.73%141.25M
-72.11%114.16M
43.08%111.91M
-31.38%109.81M
-50.66%177.11M
-72.11%114.16M
30.99%409.27M
-83.43%78.22M
-70.67%160.03M
Current changes in cash
3.46%-64.97M
88.97%118.96M
109.18%27.09M
-18.38%29.34M
102.57%2.11M
66.17%-67.3M
225.18%62.95M
-404.81%-295.11M
157.36%35.94M
-11.05%-81.82M
End cash position
77.80%195.24M
46.92%260.21M
23.73%141.25M
23.73%141.25M
43.08%111.91M
-31.38%109.81M
-50.66%177.11M
-72.11%114.16M
-72.11%114.16M
-83.43%78.22M
Free cash flow
31.52%18.11M
22.13%25.49M
-12.36%62.7M
-48.95%11.8M
-10.29%16.26M
47.27%13.77M
-0.39%20.87M
70.35%71.54M
43.83%23.12M
529.09%18.12M
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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 35.22%19.8M24.58%26.77M-9.31%65.83M-44.71%12.98M-8.72%16.72M53.21%14.64M1.18%21.49M68.71%72.59M43.81%23.48M494.13%18.31M
Net income from continuing operations -2.18%18.07M65.70%15.26M16.63%65.84M40.38%18.45M26.16%19.72M31.15%18.47M-32.31%9.21M0.33%56.46M-3.34%13.14M13.94%15.63M
Operating gains losses 7.71%-443K329.41%3.14M107.79%129K-92.89%-407K179.17%285K-56.86%-480K193.72%731K71.49%-1.66M77.24%-211K70.92%-360K
Depreciation and amortization -6.05%1.44M10.44%1.44M47.55%5.78M65.28%1.47M46.28%1.47M51.48%1.54M29.27%1.3M-5.14%3.92M-14.05%887K0.30%1.01M
Deferred tax -122.97%-432K206.95%1.15M230.76%3.82M149.55%1.33M537.82%1.69M542.59%1.88M-290.64%-1.08M-200.38%-2.92M-635.87%-2.67M-130.35%-386K
Other non cashItems 191.35%3.08M63.13%-976K-88.17%671K-19.30%1.51M54.61%5.18M-5.37%-3.37M-172.58%-2.65M-62.48%5.67M-57.20%1.88M325.98%3.35M
Change in working capital 15.73%-2.94M-20.57%5.81M-352.57%-18.66M-201.49%-10.21M-351.36%-12.28M-41.53%-3.48M192.06%7.32M141.97%7.39M2,566.42%10.06M61.98%-2.72M
-Change in receivables 72.57%692K-38.87%1.42M58.41%-1.92M58.59%-1.09M-35.49%-3.55M154.48%401K68.70%2.32M-2,018.75%-4.61M-310.80%-2.63M-342.98%-2.62M
-Change in other current assets 123.50%734K-166.75%-5.65M137.29%3.79M-14.97%-9.2M504.61%7.64M-5,105.00%-3.12M4,172.12%8.47M-72,471.43%-10.16M-3,410.09%-8M-219.63%-1.89M
-Change in other current liabilities -583.22%-4.2M403.57%10.21M-189.46%-19.97M-98.88%233K-987.31%-16.22M62.19%-614K-343.94%-3.36M225.48%22.32M4,046.60%20.73M130.60%1.83M
-Change in other working capital -12.93%-166K-51.85%-164K-245.12%-566K-276.19%-158K-273.17%-153K-258.54%-147K-170.00%-108K-300.00%-164K---42K---41K
Cash from discontinued operating activities
Operating cash flow 35.22%19.8M24.58%26.77M-9.31%65.83M-44.71%12.98M-8.72%16.72M53.21%14.64M1.18%21.49M68.71%72.59M43.81%23.48M494.13%18.31M
Investing cash flow
Cash flow from continuing investing activities -5.33%-34.24M-31.83%153.41M139.59%132.66M-33.40%-28.63M66.26%-31.24M62.92%-32.51M268.69%225.04M4.14%-335.12M89.57%-21.46M-35.34%-92.59M
Proceeds payment in interest bearing deposits in bank -102.01%-5K---6K-153.61%-260K---9K---500K--249K--097.96%485K--0--0
Net investment purchase and sale -71.81%5.95M-46.88%91.52M230.96%284.87M29.25%27.98M76.84%63.49M116.68%21.09M215.93%172.31M27.58%-217.52M141.94%21.65M146.63%35.9M
Net proceeds payment for loan 18.30%-38.66M-2.66%60.31M-25.50%-142.65M-54.99%-60.29M23.68%-97.01M-225.56%-47.32M322.99%61.96M-126.93%-113.67M74.82%-38.9M-1,607.41%-127.11M
Net PPE purchase and sale -131.69%-1.69M-109.11%-1.29M-185.49%-2.91M-242.90%-1.18M-115.08%-385K-252.17%-729K-112.80%-615K-0.89%-1.02M-35.29%-345K10.95%-179K
Net business purchase and sale --0--0---14.45M--0--0--0---14.45M--0--0--0
Net other investing changes 102.91%169K-50.82%2.87M336.89%8.07M225.74%4.87M362.42%3.17M-817.82%-5.8M577.03%5.84M-153.57%-3.41M-177.10%-3.87M-441.24%-1.21M
Cash from discontinued investing activities
Investing cash flow -5.33%-34.24M-31.83%153.41M139.59%132.66M-33.40%-28.63M66.26%-31.24M62.92%-32.51M268.69%225.04M4.14%-335.12M89.57%-21.46M-35.34%-92.59M
Financing cash flow
Cash flow from continuing financing activities -2.21%-50.53M66.65%-61.22M-426.22%-171.4M32.60%44.99M320.65%16.63M59.09%-49.44M-396.68%-183.57M-108.07%-32.57M-73.26%33.93M9.68%-7.54M
Change in federal funds and securities sold for repurchase -166.51%-2.53M-29.60%-10.58M96.48%-639K368.21%13.54M-231.95%-9.83M1,382.49%3.81M21.68%-8.16M-258.87%-18.18M-154.77%-5.05M-346.54%-2.96M
Increase decrease in deposit 71.31%-41.85M-1,380.03%-40.83M162.53%94.4M460.74%203.44M157.49%33.64M-27.92%-145.87M-95.91%3.19M-135.43%-150.97M-141.13%-56.4M-1,052.13%-58.51M
Net issuance payments of debt -99.11%907K--0-246.37%-234.2M-265.13%-165.13M-100.04%-25K--102.29M---171.33M1,377.96%160M898.72%100M--60M
Net commonstock issuance 75.81%-1.01M-114.74%-3.41M-86.22%-8.91M---1.42M-19.55%-1.71M-73.92%-4.19M-68.40%-1.59M2.51%-4.78M--0-317.49%-1.43M
Cash dividends paid -10.20%-6.04M-10.24%-6.07M-17.70%-21.87M-17.58%-5.45M-17.34%-5.44M-17.68%-5.48M-18.20%-5.51M-10.93%-18.58M-5.71%-4.63M-12.46%-4.64M
Net other financing activities --0-82.87%-331K-217.54%-181K--0--0--0-217.54%-181K---57K--0--0
Cash from discontinued financing activities
Financing cash flow -2.21%-50.53M66.65%-61.22M-426.22%-171.4M32.60%44.99M320.65%16.63M59.09%-49.44M-396.68%-183.57M-108.07%-32.57M-73.26%33.93M9.68%-7.54M
Net cash flow
Beginning cash position 46.92%260.21M23.73%141.25M-72.11%114.16M43.08%111.91M-31.38%109.81M-50.66%177.11M-72.11%114.16M30.99%409.27M-83.43%78.22M-70.67%160.03M
Current changes in cash 3.46%-64.97M88.97%118.96M109.18%27.09M-18.38%29.34M102.57%2.11M66.17%-67.3M225.18%62.95M-404.81%-295.11M157.36%35.94M-11.05%-81.82M
End cash position 77.80%195.24M46.92%260.21M23.73%141.25M23.73%141.25M43.08%111.91M-31.38%109.81M-50.66%177.11M-72.11%114.16M-72.11%114.16M-83.43%78.22M
Free cash flow 31.52%18.11M22.13%25.49M-12.36%62.7M-48.95%11.8M-10.29%16.26M47.27%13.77M-0.39%20.87M70.35%71.54M43.83%23.12M529.09%18.12M
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----

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