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HHR HeadHunter Group

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  • 15.030
  • 0.0000.00%
Trading Jun 8 09:30 ET
761.05MMarket Cap7.63P/E (TTM)

HeadHunter Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
35.34%2.6B
-11.44%7.67B
19.38%3.14B
-15.33%2.08B
-68.02%531.36M
0.26%1.92B
169.38%8.66B
108.07%2.63B
171.80%2.45B
1,489.95%1.66B
Net income from continuing operations
293.06%2.21B
-32.79%3.69B
34.55%2.04B
-20.17%1.41B
-125.08%-320.63M
-39.63%561.63M
191.27%5.49B
133.18%1.52B
202.16%1.77B
435.10%1.28B
Operating gains losses
-1,588.55%-314.26M
320.54%456.09M
-6,616.93%-437.61M
-923.80%-103.86M
12,951.56%1.02B
91.47%-18.61M
-510.97%-206.81M
-43.33%6.72M
-48.17%12.61M
-85.92%-7.91M
Depreciation and amortization
-2.35%290.07M
11.20%1.19B
5.21%294.63M
12.91%292.39M
4.27%301.67M
24.83%297.05M
42.07%1.07B
43.57%280.05M
38.34%258.95M
57.32%289.32M
Deferred tax
48.00%676.93M
12.34%1.54B
189.92%458.73M
-3.32%530.01M
-76.25%98.37M
79.93%457.4M
100.48%1.37B
37.20%158.23M
107.67%548.21M
452.03%414.19M
Other non cash items
-53.44%223.09M
26.25%443.27M
-159.75%-776.07M
13.47%299.57M
88.93%440.62M
213.89%479.14M
-4.18%351.1M
-192.44%-298.78M
71.81%264M
43.55%233.23M
Change In working capital
-14.57%485.22M
-50.09%1.18B
11.38%1.19B
-88.60%40.62M
-2,144.15%-624.23M
-40.80%567.96M
368.61%2.36B
123.68%1.07B
98.45%356.38M
90.27%-27.82M
-Change in receivables
-313.35%-118.43M
186.69%119.76M
-36.18%62M
64.52%-83.33M
687.22%85.57M
293.73%55.51M
-606.78%-138.15M
261.62%97.16M
-2,750.13%-234.83M
-137.62%-14.57M
-Change in payables and accrued expense
535.70%161.36M
-95.55%28.56M
171.15%29.37M
-0.65%291.76M
-270.64%-255.54M
-115.43%-37.03M
297.07%642.23M
-142.99%-41.28M
33.17%293.67M
264.59%149.76M
-Change in other current liabilities
-31.37%-18.01M
-344.79%-65.43M
-209.03%-17.66M
-147.34%-17.3M
-23.69%-16.77M
-9.98%-13.71M
54.50%26.73M
-65.12%16.2M
414.07%36.55M
-50.97%-13.55M
-Change in other working capital
-18.27%460.29M
-40.14%1.09B
12.04%1.12B
-157.67%-150.52M
-192.74%-437.49M
-21.52%563.19M
431.59%1.83B
151.96%998.98M
783.75%260.99M
33.44%-149.45M
Cash from discontinued investing activities
Operating cash flow
35.34%2.6B
-11.44%7.67B
19.38%3.14B
-15.33%2.08B
-68.02%531.36M
0.26%1.92B
169.38%8.66B
108.07%2.63B
171.80%2.45B
1,489.95%1.66B
Investing cash flow
Cash flow from continuing investing activities
-142.59%-38.05M
84.01%-251.9M
152.52%310.91M
-4,322.26%-670.37M
102.27%18.23M
145.60%89.33M
51.19%-1.58B
80.57%-592M
131.87%15.88M
-2,625.20%-803.25M
Net PPE purchase and sale
44.42%-31.25M
-127.90%-344.15M
-360.90%-183.93M
-332.21%-87.29M
78.20%-16.71M
-293.77%-56.23M
15.53%-151.01M
-3.58%-39.91M
44.38%-20.2M
-244.39%-76.63M
Net intangibles purchase and sale
-27.51%-54.17M
8.38%-105.2M
-10.07%-36.09M
28.01%-15.59M
34.24%-11.04M
2.56%-42.48M
-47.74%-114.83M
-62.68%-32.79M
-41.13%-21.66M
-10.85%-16.78M
Net business purchase and sale
2.88%-66.88M
83.51%-200.66M
91.31%-31.79M
--0
85.38%-100M
58.84%-68.87M
59.49%-1.22B
87.83%-365.7M
--0
---684.03M
Net investment purchase and sale
--0
162.26%186.79M
266.48%499.45M
---612.66M
--100M
--200M
---300M
---300M
--0
--0
Net other investing changes
----
----
----
----
----
----
115.61%3M
--73.8M
141.63%3.2M
----
Cash from discontinued investing activities
Investing cash flow
-142.59%-38.05M
84.01%-251.9M
152.52%310.91M
-4,322.26%-670.37M
102.27%18.23M
145.60%89.33M
51.19%-1.58B
80.57%-592M
131.87%15.88M
-2,625.20%-803.25M
Financing cash flow
Cash flow from continuing financing activities
90.01%-402.12M
-10.98%-4.39B
95.57%-50.04M
93.23%-160.05M
22.65%-158.62M
-1,461.11%-4.02B
-455.38%-3.96B
-129.36%-1.13B
-12.43%-2.37B
64.18%-205.07M
Net issuance payments of debt
0.70%-261.37M
-13.95%-600.15M
-10.40%-37.61M
-9.92%-150.27M
13.87%-149.07M
-43.94%-263.21M
-116.98%-526.69M
-100.88%-34.06M
28.62%-136.7M
68.76%-173.06M
Net common stock issuance
--0
69.93%-329.64M
--0
--0
--0
---329.64M
---1.1B
---1.1B
--0
--0
Cash dividends paid
--0
-54.97%-3.21B
--0
100.00%-1K
--0
---3.21B
-10.00%-2.07B
--0
---2.07B
--0
Net other financing activities
35.50%-140.75M
4.64%-249.99M
---12.44M
93.70%-9.78M
70.16%-9.55M
-191.07%-218.22M
-155.30%-262.16M
--0
-470.61%-155.18M
-72.75%-32.01M
Cash from discontinued financing activities
Financing cash flow
90.01%-402.12M
-10.98%-4.39B
95.57%-50.04M
93.23%-160.05M
22.65%-158.62M
-1,461.11%-4.02B
-455.38%-3.96B
-129.36%-1.13B
-12.43%-2.37B
64.18%-205.07M
Net cash flow
Beginning cash position
43.31%9.35B
93.70%6.52B
-4.73%5.34B
-27.96%3.93B
-3.41%4.67B
93.70%6.52B
61.19%3.37B
324.87%5.61B
124.77%5.45B
55.71%4.83B
Current changes in cash
206.79%2.16B
-3.26%3.02B
273.72%3.4B
1,121.28%1.25B
-40.14%390.97M
-238.34%-2.02B
183.83%3.12B
-55.95%911M
108.15%101.99M
231.30%653.18M
Effect of exchange rate changes
189.52%474.31M
-745.14%-197.54M
14,082.74%601.35M
217.65%169.28M
-3,199.33%-1.13B
2,114.18%163.83M
-82.74%30.62M
120.74%4.24M
-63.48%53.29M
81.04%-34.31M
End cash Position
156.55%11.98B
43.31%9.35B
43.31%9.35B
-4.73%5.34B
-27.96%3.93B
-3.41%4.67B
93.70%6.52B
93.70%6.52B
324.87%5.61B
124.77%5.45B
Free cash flow
37.99%2.51B
-13.99%7.22B
14.17%2.92B
-18.13%1.97B
-67.88%503.61M
-1.93%1.82B
183.75%8.39B
112.17%2.56B
183.39%2.41B
2,236.62%1.57B
Currency Unit
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 35.34%2.6B-11.44%7.67B19.38%3.14B-15.33%2.08B-68.02%531.36M0.26%1.92B169.38%8.66B108.07%2.63B171.80%2.45B1,489.95%1.66B
Net income from continuing operations 293.06%2.21B-32.79%3.69B34.55%2.04B-20.17%1.41B-125.08%-320.63M-39.63%561.63M191.27%5.49B133.18%1.52B202.16%1.77B435.10%1.28B
Operating gains losses -1,588.55%-314.26M320.54%456.09M-6,616.93%-437.61M-923.80%-103.86M12,951.56%1.02B91.47%-18.61M-510.97%-206.81M-43.33%6.72M-48.17%12.61M-85.92%-7.91M
Depreciation and amortization -2.35%290.07M11.20%1.19B5.21%294.63M12.91%292.39M4.27%301.67M24.83%297.05M42.07%1.07B43.57%280.05M38.34%258.95M57.32%289.32M
Deferred tax 48.00%676.93M12.34%1.54B189.92%458.73M-3.32%530.01M-76.25%98.37M79.93%457.4M100.48%1.37B37.20%158.23M107.67%548.21M452.03%414.19M
Other non cash items -53.44%223.09M26.25%443.27M-159.75%-776.07M13.47%299.57M88.93%440.62M213.89%479.14M-4.18%351.1M-192.44%-298.78M71.81%264M43.55%233.23M
Change In working capital -14.57%485.22M-50.09%1.18B11.38%1.19B-88.60%40.62M-2,144.15%-624.23M-40.80%567.96M368.61%2.36B123.68%1.07B98.45%356.38M90.27%-27.82M
-Change in receivables -313.35%-118.43M186.69%119.76M-36.18%62M64.52%-83.33M687.22%85.57M293.73%55.51M-606.78%-138.15M261.62%97.16M-2,750.13%-234.83M-137.62%-14.57M
-Change in payables and accrued expense 535.70%161.36M-95.55%28.56M171.15%29.37M-0.65%291.76M-270.64%-255.54M-115.43%-37.03M297.07%642.23M-142.99%-41.28M33.17%293.67M264.59%149.76M
-Change in other current liabilities -31.37%-18.01M-344.79%-65.43M-209.03%-17.66M-147.34%-17.3M-23.69%-16.77M-9.98%-13.71M54.50%26.73M-65.12%16.2M414.07%36.55M-50.97%-13.55M
-Change in other working capital -18.27%460.29M-40.14%1.09B12.04%1.12B-157.67%-150.52M-192.74%-437.49M-21.52%563.19M431.59%1.83B151.96%998.98M783.75%260.99M33.44%-149.45M
Cash from discontinued investing activities
Operating cash flow 35.34%2.6B-11.44%7.67B19.38%3.14B-15.33%2.08B-68.02%531.36M0.26%1.92B169.38%8.66B108.07%2.63B171.80%2.45B1,489.95%1.66B
Investing cash flow
Cash flow from continuing investing activities -142.59%-38.05M84.01%-251.9M152.52%310.91M-4,322.26%-670.37M102.27%18.23M145.60%89.33M51.19%-1.58B80.57%-592M131.87%15.88M-2,625.20%-803.25M
Net PPE purchase and sale 44.42%-31.25M-127.90%-344.15M-360.90%-183.93M-332.21%-87.29M78.20%-16.71M-293.77%-56.23M15.53%-151.01M-3.58%-39.91M44.38%-20.2M-244.39%-76.63M
Net intangibles purchase and sale -27.51%-54.17M8.38%-105.2M-10.07%-36.09M28.01%-15.59M34.24%-11.04M2.56%-42.48M-47.74%-114.83M-62.68%-32.79M-41.13%-21.66M-10.85%-16.78M
Net business purchase and sale 2.88%-66.88M83.51%-200.66M91.31%-31.79M--085.38%-100M58.84%-68.87M59.49%-1.22B87.83%-365.7M--0---684.03M
Net investment purchase and sale --0162.26%186.79M266.48%499.45M---612.66M--100M--200M---300M---300M--0--0
Net other investing changes ------------------------115.61%3M--73.8M141.63%3.2M----
Cash from discontinued investing activities
Investing cash flow -142.59%-38.05M84.01%-251.9M152.52%310.91M-4,322.26%-670.37M102.27%18.23M145.60%89.33M51.19%-1.58B80.57%-592M131.87%15.88M-2,625.20%-803.25M
Financing cash flow
Cash flow from continuing financing activities 90.01%-402.12M-10.98%-4.39B95.57%-50.04M93.23%-160.05M22.65%-158.62M-1,461.11%-4.02B-455.38%-3.96B-129.36%-1.13B-12.43%-2.37B64.18%-205.07M
Net issuance payments of debt 0.70%-261.37M-13.95%-600.15M-10.40%-37.61M-9.92%-150.27M13.87%-149.07M-43.94%-263.21M-116.98%-526.69M-100.88%-34.06M28.62%-136.7M68.76%-173.06M
Net common stock issuance --069.93%-329.64M--0--0--0---329.64M---1.1B---1.1B--0--0
Cash dividends paid --0-54.97%-3.21B--0100.00%-1K--0---3.21B-10.00%-2.07B--0---2.07B--0
Net other financing activities 35.50%-140.75M4.64%-249.99M---12.44M93.70%-9.78M70.16%-9.55M-191.07%-218.22M-155.30%-262.16M--0-470.61%-155.18M-72.75%-32.01M
Cash from discontinued financing activities
Financing cash flow 90.01%-402.12M-10.98%-4.39B95.57%-50.04M93.23%-160.05M22.65%-158.62M-1,461.11%-4.02B-455.38%-3.96B-129.36%-1.13B-12.43%-2.37B64.18%-205.07M
Net cash flow
Beginning cash position 43.31%9.35B93.70%6.52B-4.73%5.34B-27.96%3.93B-3.41%4.67B93.70%6.52B61.19%3.37B324.87%5.61B124.77%5.45B55.71%4.83B
Current changes in cash 206.79%2.16B-3.26%3.02B273.72%3.4B1,121.28%1.25B-40.14%390.97M-238.34%-2.02B183.83%3.12B-55.95%911M108.15%101.99M231.30%653.18M
Effect of exchange rate changes 189.52%474.31M-745.14%-197.54M14,082.74%601.35M217.65%169.28M-3,199.33%-1.13B2,114.18%163.83M-82.74%30.62M120.74%4.24M-63.48%53.29M81.04%-34.31M
End cash Position 156.55%11.98B43.31%9.35B43.31%9.35B-4.73%5.34B-27.96%3.93B-3.41%4.67B93.70%6.52B93.70%6.52B324.87%5.61B124.77%5.45B
Free cash flow 37.99%2.51B-13.99%7.22B14.17%2.92B-18.13%1.97B-67.88%503.61M-1.93%1.82B183.75%8.39B112.17%2.56B183.39%2.41B2,236.62%1.57B
Currency Unit RUBRUBRUBRUBRUBRUBRUBRUBRUBRUB
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

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