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HGV Hilton Grand Vacations

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  • 40.590
  • +0.280+0.69%
Trading Dec 16 10:14 ET
4.00BMarket Cap46.13P/E (TTM)

Hilton Grand Vacations 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-1.09%91M
-41.54%114M
-104.00%-1M
-58.23%312M
0
-60.52%92M
-25.00%195M
-90.74%25M
344.64%747M
-112.12%-16M
Net income from continuing operations
-65.22%32M
-95.00%4M
-102.74%-2M
-11.08%313M
-12.82%68M
-38.67%92M
9.59%80M
43.14%73M
100.00%352M
4.00%78M
Operating gains losses
400.00%6M
-175.00%-3M
-66.67%-5M
130.77%4M
225.00%5M
0.00%-2M
200.00%4M
0.00%-3M
-62.50%-13M
-33.33%-4M
Depreciation and amortization
28.30%68M
30.77%68M
21.57%62M
-12.70%213M
-9.52%57M
-7.02%53M
-18.75%52M
-15.00%51M
93.65%244M
14.55%63M
Deferred tax
----
----
----
39.47%-23M
----
----
----
----
-165.52%-38M
-175.51%-37M
Other non cash items
200.00%13M
--24M
-175.00%-3M
-117.02%-8M
-93.75%1M
-360.00%-13M
--0
-63.64%4M
135.00%47M
-15.79%16M
Change In working capital
-60.42%-154M
-4,550.00%-93M
8.63%-127M
-702.00%-401M
15.46%-164M
-336.36%-96M
-103.33%-2M
-231.13%-139M
86.67%-50M
-57.72%-194M
-Change in receivables
-14.29%-80M
-135.19%-127M
-237.50%-54M
23.94%-305M
15.82%-165M
12.50%-70M
-671.43%-54M
86.44%-16M
-85.65%-401M
-151.28%-196M
-Change in inventory
-123.33%-7M
-117.65%-6M
75.25%-25M
-164.00%-64M
-2,600.00%-27M
-62.96%30M
666.67%34M
-488.46%-101M
566.67%100M
-103.85%-1M
-Change in payables and accrued expense
4.67%-102M
36.54%-33M
4.76%88M
-129.25%-86M
-129.73%-11M
-224.24%-107M
---52M
-71.03%84M
712.50%294M
169.81%37M
-Change in other current assets
114.93%144M
-17.27%91M
-0.41%-245M
76.47%-8M
553.85%59M
-51.45%67M
4.76%110M
7.58%-244M
-170.83%-34M
7.14%-13M
-Change in other working capital
-581.25%-109M
55.00%-18M
-21.01%109M
788.89%62M
4.76%-20M
87.50%-16M
-25.00%-40M
-19.77%138M
94.83%-9M
-425.00%-21M
Cash from discontinued investing activities
Operating cash flow
-1.09%91M
-41.75%113M
--0
-58.23%312M
--0
-60.52%92M
-25.38%194M
-90.37%26M
344.64%747M
-112.12%-16M
Investing cash flow
Cash flow from continuing investing activities
-45.45%-32M
35.71%-9M
-13,290.91%-1.47B
-62.89%-158M
-141.30%-111M
-37.50%-22M
33.33%-14M
21.43%-11M
94.05%-97M
-119.05%-46M
Capital expenditure reported
-45.45%-32M
-28.57%-18M
-72.73%-19M
22.68%-75M
39.13%-28M
-37.50%-22M
33.33%-14M
21.43%-11M
-148.72%-97M
-228.57%-46M
Net business purchase and sale
--0
--10M
---1.45B
---75M
---75M
--0
--0
--0
--0
----
Net other investing changes
--0
----
----
---8M
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-45.45%-32M
35.71%-9M
-13,290.91%-1.47B
-62.89%-158M
-141.30%-111M
-37.50%-22M
33.33%-14M
21.43%-11M
94.05%-97M
-119.05%-46M
Financing cash flow
Cash flow from continuing financing activities
-10.17%-130M
48.81%-172M
591.85%1.27B
123.40%183M
428.26%453M
6.35%-118M
12.73%-336M
238.35%184M
-147.80%-782M
-675.00%-138M
Net issuance payments of debt
68.63%-16M
70.78%-64M
412.95%1.43B
213.16%559M
1,877.42%551M
-41.67%-51M
27.48%-219M
322.40%278M
-129.04%-494M
-196.88%-31M
Net common stock issuance
-74.19%-108M
17.36%-100M
-16.47%-99M
-35.29%-368M
9.09%-100M
26.19%-62M
-55.13%-121M
---85M
---272M
---110M
Proceeds from stock option exercised by employees
--0
0.00%6M
20.00%6M
142.86%17M
0.00%4M
--2M
200.00%6M
400.00%5M
-50.00%7M
33.33%4M
Net other financing activities
14.29%-6M
-1,200.00%-13M
-306.67%-61M
-8.70%-25M
-100.00%-2M
-16.67%-7M
85.71%-1M
-66.67%-15M
70.89%-23M
90.91%-1M
Cash from discontinued financing activities
Financing cash flow
-10.17%-130M
48.96%-171M
595.08%1.27B
123.40%183M
428.26%453M
6.35%-118M
12.99%-335M
237.59%183M
-147.80%-782M
-675.00%-138M
Net cash flow
Beginning cash position
2.21%601M
-9.84%678M
59.46%885M
-20.14%555M
-28.09%535M
-11.71%588M
-7.96%752M
-20.14%555M
32.13%695M
31.91%744M
Current changes in cash
-47.92%-71M
56.77%-67M
-201.52%-201M
355.30%337M
271.00%342M
-152.75%-48M
-6.16%-155M
60.98%198M
-176.30%-132M
-248.15%-200M
Effect of exchange rate changes
320.00%11M
-11.11%-10M
-500.00%-6M
12.50%-7M
-27.27%8M
61.54%-5M
-80.00%-9M
0.00%-1M
-100.00%-8M
375.00%11M
End cash Position
1.12%541M
2.21%601M
-9.84%678M
59.46%885M
59.46%885M
-28.09%535M
-11.71%588M
-7.96%752M
-20.14%555M
-20.14%555M
Free cash flow
-15.71%59M
-47.22%95M
-226.67%-19M
-63.54%237M
54.84%-28M
-67.74%70M
-24.69%180M
-94.14%15M
403.88%650M
-152.54%-62M
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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -1.09%91M-41.54%114M-104.00%-1M-58.23%312M0-60.52%92M-25.00%195M-90.74%25M344.64%747M-112.12%-16M
Net income from continuing operations -65.22%32M-95.00%4M-102.74%-2M-11.08%313M-12.82%68M-38.67%92M9.59%80M43.14%73M100.00%352M4.00%78M
Operating gains losses 400.00%6M-175.00%-3M-66.67%-5M130.77%4M225.00%5M0.00%-2M200.00%4M0.00%-3M-62.50%-13M-33.33%-4M
Depreciation and amortization 28.30%68M30.77%68M21.57%62M-12.70%213M-9.52%57M-7.02%53M-18.75%52M-15.00%51M93.65%244M14.55%63M
Deferred tax ------------39.47%-23M-----------------165.52%-38M-175.51%-37M
Other non cash items 200.00%13M--24M-175.00%-3M-117.02%-8M-93.75%1M-360.00%-13M--0-63.64%4M135.00%47M-15.79%16M
Change In working capital -60.42%-154M-4,550.00%-93M8.63%-127M-702.00%-401M15.46%-164M-336.36%-96M-103.33%-2M-231.13%-139M86.67%-50M-57.72%-194M
-Change in receivables -14.29%-80M-135.19%-127M-237.50%-54M23.94%-305M15.82%-165M12.50%-70M-671.43%-54M86.44%-16M-85.65%-401M-151.28%-196M
-Change in inventory -123.33%-7M-117.65%-6M75.25%-25M-164.00%-64M-2,600.00%-27M-62.96%30M666.67%34M-488.46%-101M566.67%100M-103.85%-1M
-Change in payables and accrued expense 4.67%-102M36.54%-33M4.76%88M-129.25%-86M-129.73%-11M-224.24%-107M---52M-71.03%84M712.50%294M169.81%37M
-Change in other current assets 114.93%144M-17.27%91M-0.41%-245M76.47%-8M553.85%59M-51.45%67M4.76%110M7.58%-244M-170.83%-34M7.14%-13M
-Change in other working capital -581.25%-109M55.00%-18M-21.01%109M788.89%62M4.76%-20M87.50%-16M-25.00%-40M-19.77%138M94.83%-9M-425.00%-21M
Cash from discontinued investing activities
Operating cash flow -1.09%91M-41.75%113M--0-58.23%312M--0-60.52%92M-25.38%194M-90.37%26M344.64%747M-112.12%-16M
Investing cash flow
Cash flow from continuing investing activities -45.45%-32M35.71%-9M-13,290.91%-1.47B-62.89%-158M-141.30%-111M-37.50%-22M33.33%-14M21.43%-11M94.05%-97M-119.05%-46M
Capital expenditure reported -45.45%-32M-28.57%-18M-72.73%-19M22.68%-75M39.13%-28M-37.50%-22M33.33%-14M21.43%-11M-148.72%-97M-228.57%-46M
Net business purchase and sale --0--10M---1.45B---75M---75M--0--0--0--0----
Net other investing changes --0-----------8M------------------------
Cash from discontinued investing activities
Investing cash flow -45.45%-32M35.71%-9M-13,290.91%-1.47B-62.89%-158M-141.30%-111M-37.50%-22M33.33%-14M21.43%-11M94.05%-97M-119.05%-46M
Financing cash flow
Cash flow from continuing financing activities -10.17%-130M48.81%-172M591.85%1.27B123.40%183M428.26%453M6.35%-118M12.73%-336M238.35%184M-147.80%-782M-675.00%-138M
Net issuance payments of debt 68.63%-16M70.78%-64M412.95%1.43B213.16%559M1,877.42%551M-41.67%-51M27.48%-219M322.40%278M-129.04%-494M-196.88%-31M
Net common stock issuance -74.19%-108M17.36%-100M-16.47%-99M-35.29%-368M9.09%-100M26.19%-62M-55.13%-121M---85M---272M---110M
Proceeds from stock option exercised by employees --00.00%6M20.00%6M142.86%17M0.00%4M--2M200.00%6M400.00%5M-50.00%7M33.33%4M
Net other financing activities 14.29%-6M-1,200.00%-13M-306.67%-61M-8.70%-25M-100.00%-2M-16.67%-7M85.71%-1M-66.67%-15M70.89%-23M90.91%-1M
Cash from discontinued financing activities
Financing cash flow -10.17%-130M48.96%-171M595.08%1.27B123.40%183M428.26%453M6.35%-118M12.99%-335M237.59%183M-147.80%-782M-675.00%-138M
Net cash flow
Beginning cash position 2.21%601M-9.84%678M59.46%885M-20.14%555M-28.09%535M-11.71%588M-7.96%752M-20.14%555M32.13%695M31.91%744M
Current changes in cash -47.92%-71M56.77%-67M-201.52%-201M355.30%337M271.00%342M-152.75%-48M-6.16%-155M60.98%198M-176.30%-132M-248.15%-200M
Effect of exchange rate changes 320.00%11M-11.11%-10M-500.00%-6M12.50%-7M-27.27%8M61.54%-5M-80.00%-9M0.00%-1M-100.00%-8M375.00%11M
End cash Position 1.12%541M2.21%601M-9.84%678M59.46%885M59.46%885M-28.09%535M-11.71%588M-7.96%752M-20.14%555M-20.14%555M
Free cash flow -15.71%59M-47.22%95M-226.67%-19M-63.54%237M54.84%-28M-67.74%70M-24.69%180M-94.14%15M403.88%650M-152.54%-62M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
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