US Stock MarketDetailed Quotes

HIPO Hippo Holdings

Watchlist
  • 19.500
  • +0.310+1.62%
Close Oct 18 16:00 ET
  • 19.500
  • 0.0000.00%
Post 16:02 ET
485.94MMarket Cap-2765P/E (TTM)

Hippo Holdings 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
-13.98%-10.6M
149.58%17.7M
42.79%-92.4M
-61.13%-48.5M
102.56%1.1M
68.79%-9.3M
39.08%-35.7M
-29.72%-161.5M
-467.92%-30.1M
14.00%-43M
Net income from continuing operations
64.67%-37.2M
51.40%-33.1M
19.45%-263M
35.04%-39.3M
60.55%-50.3M
-46.25%-105.3M
-2.41%-68.1M
11.25%-326.5M
-2.02%-60.5M
-326.42%-127.5M
Operating gains losses
----
50.00%1.5M
----
----
----
----
--1M
----
----
----
Other non cash items
-142.86%-300K
-33.33%-2.4M
0.00%-2.9M
90.38%-500K
-333.33%-1.3M
187.50%700K
-152.94%-1.8M
91.57%-2.9M
-67.74%-5.2M
99.33%-300K
Change in working capital
-85.75%10.6M
168.75%34.4M
150.13%93.3M
-312.12%-28M
218.69%34.1M
197.60%74.4M
210.34%12.8M
-14.65%37.3M
-65.54%13.2M
663.16%10.7M
-Change in receivables
75.92%-13.7M
52.99%-25.9M
18.12%-61M
-48.97%22.4M
137.93%28.6M
-341.10%-56.9M
17.27%-55.1M
56.84%-74.5M
272.03%43.9M
-64.63%-75.4M
-Change in prepaid assets
67.01%-16M
456.80%60.3M
67.18%-25.7M
581.93%40M
99.21%-300K
-77.01%-48.5M
-284.09%-16.9M
23.39%-78.3M
-137.14%-8.3M
-16.46%-38.2M
-Change in loss and loss adjustment expense reserves
-83.49%10.3M
23.68%14.1M
-13.03%28.7M
-35.02%-37.4M
-114.61%-7.7M
558.82%62.4M
-47.22%11.4M
-78.81%33M
-231.28%-27.7M
18.43%52.7M
-Change in payables and accrued expense
-126.50%-15M
-106.54%-3.1M
-29.42%47.5M
-817.02%-43.1M
-142.27%-13.4M
18,766.67%56.6M
18.50%47.4M
-38.09%67.3M
-571.43%-4.7M
12.81%31.7M
-Change in unearned premiums
-20.73%45.5M
-149.18%-12M
-11.68%77.9M
-191.53%-22.7M
-44.05%18.8M
86.36%57.4M
2,540.00%24.4M
-14.20%88.2M
181.82%24.8M
20.86%33.6M
-Change in other current assets
-366.67%-2.8M
-57.14%-3.3M
-30.34%6.2M
195.31%6.1M
-54.84%2.8M
-104.84%-600K
36.36%-2.1M
127.13%8.9M
-3,100.00%-6.4M
128.18%6.2M
-Change in other current liabilities
-42.50%2.3M
16.22%4.3M
369.86%19.7M
179.76%6.7M
5,200.00%5.3M
463.64%4M
76.19%3.7M
54.09%-7.3M
-940.00%-8.4M
105.88%100K
Cash from discontinued operating activities
Operating cash flow
-13.98%-10.6M
149.58%17.7M
42.79%-92.4M
-61.13%-48.5M
102.56%1.1M
68.79%-9.3M
39.08%-35.7M
-29.72%-161.5M
-467.92%-30.1M
14.00%-43M
Investing cash flow
Cash flow from continuing investing activities
-180.29%-28.1M
323.91%58.5M
114.19%57.6M
80.90%-22M
-72.62%30.8M
240.00%35M
103.65%13.8M
-1,253.00%-405.9M
-14,500.00%-115.2M
646.12%112.5M
Net investment purchase and sale
-135.47%-24.3M
231.02%61.9M
127.98%107.5M
86.39%-15.2M
-69.92%35.5M
434.15%68.5M
105.05%18.7M
-3,860.82%-384.2M
-1,589.33%-111.7M
846.84%118M
Net PPE purchase and sale
99.66%-100K
---100K
-504.08%-29.6M
-300.00%-400K
88.89%-200K
-4,733.33%-29M
--0
-512.50%-4.9M
85.71%-100K
-1,700.00%-1.8M
Net other investing changes
----
----
-60.00%-3.2M
---2.3M
--0
--100K
50.00%-1M
31.03%-2M
--0
--0
Capital expenditure
19.57%-3.7M
15.38%-3.3M
-15.54%-17.1M
-20.59%-4.1M
-21.62%-4.5M
-17.95%-4.6M
-2.63%-3.9M
-11.28%-14.8M
15.00%-3.4M
2.63%-3.7M
Cash from discontinued investing activities
Investing cash flow
-180.29%-28.1M
323.91%58.5M
114.19%57.6M
80.90%-22M
-72.62%30.8M
240.00%35M
103.65%13.8M
-1,253.00%-405.9M
-14,500.00%-115.2M
646.12%112.5M
Financing cash flow
Cash flow from continuing financing activities
45.00%-4.4M
-321.05%-8M
-114.71%-14.6M
-22.58%-3.8M
18.18%-900K
-247.83%-8M
-533.33%-1.9M
-101.41%-6.8M
-875.00%-3.1M
-100.23%-1.1M
Net common stock issuance
1,300.00%1.2M
400.00%1M
-75.61%1M
-42.86%400K
400.00%500K
-103.03%-100K
--200K
--4.1M
--700K
103.85%100K
Proceeds from stock option exercised by employees
----
--0
----
----
----
----
-116.67%-200K
----
----
----
Net other financing charges
30.86%-5.6M
-373.68%-9M
-43.12%-15.6M
-10.53%-4.2M
-16.67%-1.4M
-84.09%-8.1M
-26.67%-1.9M
-102.44%-10.9M
25.49%-3.8M
-100.26%-1.2M
Cash from discontinued financing activities
Financing cash flow
45.00%-4.4M
-321.05%-8M
-114.71%-14.6M
-22.58%-3.8M
18.18%-900K
-247.83%-8M
-533.33%-1.9M
-101.41%-6.8M
-875.00%-3.1M
-100.23%-1.1M
Net cash flow
Beginning cash position
19.30%263.3M
-20.20%195.1M
-70.14%244.5M
-31.43%269.4M
-26.53%238.4M
-42.16%220.7M
-70.14%244.5M
66.27%818.7M
-52.25%392.9M
-20.89%324.5M
Current changes in cash
-343.50%-43.1M
386.55%68.2M
91.40%-49.4M
49.93%-74.3M
-54.68%31M
131.00%17.7M
94.56%-23.8M
-275.97%-574.2M
-3,519.51%-148.4M
-83.42%68.4M
End cash position
-7.63%220.2M
19.30%263.3M
-20.20%195.1M
-20.20%195.1M
-31.43%269.4M
-26.53%238.4M
-42.16%220.7M
-70.14%244.5M
-70.14%244.5M
-52.25%392.9M
Free cash flow
66.43%-14.4M
136.11%14.3M
23.23%-139.1M
-57.74%-53M
92.58%-3.6M
-25.07%-42.9M
38.89%-39.6M
-27.70%-181.2M
-236.00%-33.6M
10.02%-48.5M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(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 -13.98%-10.6M149.58%17.7M42.79%-92.4M-61.13%-48.5M102.56%1.1M68.79%-9.3M39.08%-35.7M-29.72%-161.5M-467.92%-30.1M14.00%-43M
Net income from continuing operations 64.67%-37.2M51.40%-33.1M19.45%-263M35.04%-39.3M60.55%-50.3M-46.25%-105.3M-2.41%-68.1M11.25%-326.5M-2.02%-60.5M-326.42%-127.5M
Operating gains losses ----50.00%1.5M------------------1M------------
Other non cash items -142.86%-300K-33.33%-2.4M0.00%-2.9M90.38%-500K-333.33%-1.3M187.50%700K-152.94%-1.8M91.57%-2.9M-67.74%-5.2M99.33%-300K
Change in working capital -85.75%10.6M168.75%34.4M150.13%93.3M-312.12%-28M218.69%34.1M197.60%74.4M210.34%12.8M-14.65%37.3M-65.54%13.2M663.16%10.7M
-Change in receivables 75.92%-13.7M52.99%-25.9M18.12%-61M-48.97%22.4M137.93%28.6M-341.10%-56.9M17.27%-55.1M56.84%-74.5M272.03%43.9M-64.63%-75.4M
-Change in prepaid assets 67.01%-16M456.80%60.3M67.18%-25.7M581.93%40M99.21%-300K-77.01%-48.5M-284.09%-16.9M23.39%-78.3M-137.14%-8.3M-16.46%-38.2M
-Change in loss and loss adjustment expense reserves -83.49%10.3M23.68%14.1M-13.03%28.7M-35.02%-37.4M-114.61%-7.7M558.82%62.4M-47.22%11.4M-78.81%33M-231.28%-27.7M18.43%52.7M
-Change in payables and accrued expense -126.50%-15M-106.54%-3.1M-29.42%47.5M-817.02%-43.1M-142.27%-13.4M18,766.67%56.6M18.50%47.4M-38.09%67.3M-571.43%-4.7M12.81%31.7M
-Change in unearned premiums -20.73%45.5M-149.18%-12M-11.68%77.9M-191.53%-22.7M-44.05%18.8M86.36%57.4M2,540.00%24.4M-14.20%88.2M181.82%24.8M20.86%33.6M
-Change in other current assets -366.67%-2.8M-57.14%-3.3M-30.34%6.2M195.31%6.1M-54.84%2.8M-104.84%-600K36.36%-2.1M127.13%8.9M-3,100.00%-6.4M128.18%6.2M
-Change in other current liabilities -42.50%2.3M16.22%4.3M369.86%19.7M179.76%6.7M5,200.00%5.3M463.64%4M76.19%3.7M54.09%-7.3M-940.00%-8.4M105.88%100K
Cash from discontinued operating activities
Operating cash flow -13.98%-10.6M149.58%17.7M42.79%-92.4M-61.13%-48.5M102.56%1.1M68.79%-9.3M39.08%-35.7M-29.72%-161.5M-467.92%-30.1M14.00%-43M
Investing cash flow
Cash flow from continuing investing activities -180.29%-28.1M323.91%58.5M114.19%57.6M80.90%-22M-72.62%30.8M240.00%35M103.65%13.8M-1,253.00%-405.9M-14,500.00%-115.2M646.12%112.5M
Net investment purchase and sale -135.47%-24.3M231.02%61.9M127.98%107.5M86.39%-15.2M-69.92%35.5M434.15%68.5M105.05%18.7M-3,860.82%-384.2M-1,589.33%-111.7M846.84%118M
Net PPE purchase and sale 99.66%-100K---100K-504.08%-29.6M-300.00%-400K88.89%-200K-4,733.33%-29M--0-512.50%-4.9M85.71%-100K-1,700.00%-1.8M
Net other investing changes ---------60.00%-3.2M---2.3M--0--100K50.00%-1M31.03%-2M--0--0
Capital expenditure 19.57%-3.7M15.38%-3.3M-15.54%-17.1M-20.59%-4.1M-21.62%-4.5M-17.95%-4.6M-2.63%-3.9M-11.28%-14.8M15.00%-3.4M2.63%-3.7M
Cash from discontinued investing activities
Investing cash flow -180.29%-28.1M323.91%58.5M114.19%57.6M80.90%-22M-72.62%30.8M240.00%35M103.65%13.8M-1,253.00%-405.9M-14,500.00%-115.2M646.12%112.5M
Financing cash flow
Cash flow from continuing financing activities 45.00%-4.4M-321.05%-8M-114.71%-14.6M-22.58%-3.8M18.18%-900K-247.83%-8M-533.33%-1.9M-101.41%-6.8M-875.00%-3.1M-100.23%-1.1M
Net common stock issuance 1,300.00%1.2M400.00%1M-75.61%1M-42.86%400K400.00%500K-103.03%-100K--200K--4.1M--700K103.85%100K
Proceeds from stock option exercised by employees ------0-----------------116.67%-200K------------
Net other financing charges 30.86%-5.6M-373.68%-9M-43.12%-15.6M-10.53%-4.2M-16.67%-1.4M-84.09%-8.1M-26.67%-1.9M-102.44%-10.9M25.49%-3.8M-100.26%-1.2M
Cash from discontinued financing activities
Financing cash flow 45.00%-4.4M-321.05%-8M-114.71%-14.6M-22.58%-3.8M18.18%-900K-247.83%-8M-533.33%-1.9M-101.41%-6.8M-875.00%-3.1M-100.23%-1.1M
Net cash flow
Beginning cash position 19.30%263.3M-20.20%195.1M-70.14%244.5M-31.43%269.4M-26.53%238.4M-42.16%220.7M-70.14%244.5M66.27%818.7M-52.25%392.9M-20.89%324.5M
Current changes in cash -343.50%-43.1M386.55%68.2M91.40%-49.4M49.93%-74.3M-54.68%31M131.00%17.7M94.56%-23.8M-275.97%-574.2M-3,519.51%-148.4M-83.42%68.4M
End cash position -7.63%220.2M19.30%263.3M-20.20%195.1M-20.20%195.1M-31.43%269.4M-26.53%238.4M-42.16%220.7M-70.14%244.5M-70.14%244.5M-52.25%392.9M
Free cash flow 66.43%-14.4M136.11%14.3M23.23%-139.1M-57.74%-53M92.58%-3.6M-25.07%-42.9M38.89%-39.6M-27.70%-181.2M-236.00%-33.6M10.02%-48.5M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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