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HQI HireQuest

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  • 15.210
  • -0.280-1.81%
Close Nov 29 13:00 ET
  • 15.210
  • 0.0000.00%
Post 13:02 ET
212.94MMarket Cap152.10P/E (TTM)

HireQuest 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
111.63%4.2M
139.27%225K
-313.88%-894K
-33.55%10.64M
67.36%8.81M
-12.59%1.99M
-116.21%-573K
-91.54%418K
-9.92%16.01M
78.23%5.26M
Net income from continuing operations
-235.48%-2.17M
1.12%2.08M
-27.01%1.69M
-46.26%6.44M
-81.64%466K
-61.47%1.6M
-57.22%2.05M
372.10%2.32M
1.13%11.98M
16.16%2.54M
Operating gains losses
--100K
--0
--11K
-9.23%2.03M
----
----
----
----
82.58%2.23M
--0
Depreciation and amortization
-0.29%697K
-0.43%697K
0.14%698K
36.91%2.79M
165.02%697K
-7.66%699K
34.36%700K
39.68%697K
31.53%2.04M
-50.28%263K
Deferred tax
-561.75%-1.44M
-164.62%-42K
-69.63%41K
15.29%-349K
-644.26%-332K
---217K
119.46%65K
197.12%135K
82.59%-412K
104.58%61K
Other non cash items
104.29%3K
-69.23%4K
-97.87%7K
272.63%354K
260.87%83K
-391.67%-70K
-45.83%13K
1,266.67%328K
101.70%95K
103.62%23K
Change In working capital
150.16%316K
22.41%-3M
-10.23%-3.77M
-7.60%-2.84M
184.78%5.07M
80.55%-630K
-180.20%-3.86M
-1,863.92%-3.42M
-128.84%-2.64M
-10.86%1.78M
-Change in receivables
-170.15%-644K
23.80%-2.26M
-41.67%-3.39M
236.96%1.33M
1,278.76%5.78M
1,986.36%918K
27.02%-2.97M
-190.74%-2.39M
68.22%-974K
-71.77%419K
-Change in prepaid assets
401.82%996K
-11.82%-1.4M
242.29%397K
-329.27%-1.83M
-97.47%28K
-466.67%-330K
-558.95%-1.25M
80.53%-279K
-105.46%-427K
2.41%1.11M
-Change in payables and accrued expense
249.06%477K
-126.61%-335K
148.13%501K
-199.00%-1.59M
-372.39%-1.49M
-26.98%-320K
-58.01%1.26M
38.22%-1.04M
-68.25%1.61M
-77.09%547K
-Change in other current liabilities
80.36%-272K
182.84%695K
-199.30%-992K
-179.05%-1.47M
-205.26%-240K
-0.44%-1.39M
-459.33%-839K
28.74%999K
-192.59%-525K
109.33%228K
-Change in other working capital
-149.49%-241K
601.64%306K
58.93%-292K
130.62%712K
292.10%997K
127.96%487K
-279.41%-61K
-625.51%-711K
-89.64%-2.33M
-1.57%-519K
Cash from discontinued investing activities
-255.56%-42K
17.78%-37K
-160.71%-73K
-102.07%-18K
-90.85%28K
158.70%27K
-142.86%-45K
-105.57%-28K
321.99%868K
178.26%306K
Operating cash flow
106.71%4.16M
130.42%188K
-347.95%-967K
-37.07%10.62M
58.66%8.84M
-9.57%2.01M
-116.98%-618K
-92.83%390K
-2.90%16.88M
117.37%5.57M
Investing cash flow
Cash flow from continuing investing activities
38.27%112K
20.83%232K
475.68%213K
69.95%-7.08M
44.93%-7.39M
143.55%81K
128.57%192K
100.40%37K
19.94%-23.57M
-148.81%-13.43M
Net PPE purchase and sale
--0
--0
--0
2.00%-98K
--0
--0
-133.33%-21K
4.94%-77K
92.86%-100K
--0
Net intangibles purchase and sale
39.05%-103K
-248.72%-136K
-20.73%-99K
71.68%-390K
75.06%-100K
63.58%-169K
88.83%-39K
49.69%-82K
-140.31%-1.38M
-197.04%-401K
Net business purchase and sale
----
----
----
67.54%-7.48M
43.45%-7.48M
----
----
----
29.63%-23.04M
-177.54%-13.22M
Net other investing changes
66.00%415K
46.03%368K
59.18%312K
-6.38%881K
-7.11%183K
-30.17%250K
-9.68%252K
83.18%196K
-82.14%941K
3.14%197K
Cash from discontinued investing activities
Investing cash flow
38.27%112K
20.83%232K
475.68%213K
69.95%-7.08M
44.93%-7.39M
143.55%81K
128.57%192K
100.40%37K
19.94%-23.57M
-148.81%-13.43M
Financing cash flow
Cash flow from continuing financing activities
-6.91%-3.27M
75.92%-1.38M
-79.26%981K
-161.77%-5.24M
-112.91%-1.21M
-87.08%-3.06M
-55.76%-5.71M
7.11%4.73M
2,546.40%8.49M
1,440.63%9.37M
Net issuance payments of debt
-9.28%-2.43M
88.98%-537K
-68.06%1.82M
-115.03%-1.77M
-103.67%-374K
-176.00%-2.22M
-71.78%-4.88M
8.70%5.7M
264.54%11.8M
8,546.61%10.2M
Cash dividends paid
-0.60%-841K
-0.36%-838K
-0.60%-838K
-0.88%-3.34M
-0.48%-836K
-0.84%-836K
-0.85%-835K
-1.34%-833K
-5.41%-3.31M
-1.09%-832K
Net other financing activities
----
----
----
---131K
--0
--0
--0
---131K
----
----
Cash from discontinued financing activities
Financing cash flow
-6.91%-3.27M
75.92%-1.38M
-79.26%981K
-161.77%-5.24M
-112.91%-1.21M
-87.08%-3.06M
-55.76%-5.71M
7.11%4.73M
2,546.40%8.49M
1,440.63%9.37M
Net cash flow
Beginning cash position
-70.35%614K
-80.88%1.57M
-55.99%1.34M
142.75%3.05M
-27.69%1.11M
83.60%2.07M
349.45%8.21M
142.75%3.05M
-90.81%1.26M
-67.95%1.54M
Current changes in cash
204.79%1.01M
84.44%-955K
-95.60%227K
-195.20%-1.71M
-84.68%232K
-336.12%-961K
-779.08%-6.14M
804.91%5.16M
114.45%1.79M
142.85%1.51M
End cash Position
46.04%1.62M
-70.35%614K
-80.88%1.57M
-55.99%1.34M
-55.99%1.34M
-27.69%1.11M
83.60%2.07M
349.45%8.21M
142.75%3.05M
142.75%3.05M
Free cash flow
120.07%4.06M
107.67%52K
-561.47%-1.07M
-34.21%10.13M
69.04%8.74M
5.25%1.84M
-120.66%-678K
-95.56%231K
-0.05%15.4M
197.18%5.17M
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
--
--
--
--
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 111.63%4.2M139.27%225K-313.88%-894K-33.55%10.64M67.36%8.81M-12.59%1.99M-116.21%-573K-91.54%418K-9.92%16.01M78.23%5.26M
Net income from continuing operations -235.48%-2.17M1.12%2.08M-27.01%1.69M-46.26%6.44M-81.64%466K-61.47%1.6M-57.22%2.05M372.10%2.32M1.13%11.98M16.16%2.54M
Operating gains losses --100K--0--11K-9.23%2.03M----------------82.58%2.23M--0
Depreciation and amortization -0.29%697K-0.43%697K0.14%698K36.91%2.79M165.02%697K-7.66%699K34.36%700K39.68%697K31.53%2.04M-50.28%263K
Deferred tax -561.75%-1.44M-164.62%-42K-69.63%41K15.29%-349K-644.26%-332K---217K119.46%65K197.12%135K82.59%-412K104.58%61K
Other non cash items 104.29%3K-69.23%4K-97.87%7K272.63%354K260.87%83K-391.67%-70K-45.83%13K1,266.67%328K101.70%95K103.62%23K
Change In working capital 150.16%316K22.41%-3M-10.23%-3.77M-7.60%-2.84M184.78%5.07M80.55%-630K-180.20%-3.86M-1,863.92%-3.42M-128.84%-2.64M-10.86%1.78M
-Change in receivables -170.15%-644K23.80%-2.26M-41.67%-3.39M236.96%1.33M1,278.76%5.78M1,986.36%918K27.02%-2.97M-190.74%-2.39M68.22%-974K-71.77%419K
-Change in prepaid assets 401.82%996K-11.82%-1.4M242.29%397K-329.27%-1.83M-97.47%28K-466.67%-330K-558.95%-1.25M80.53%-279K-105.46%-427K2.41%1.11M
-Change in payables and accrued expense 249.06%477K-126.61%-335K148.13%501K-199.00%-1.59M-372.39%-1.49M-26.98%-320K-58.01%1.26M38.22%-1.04M-68.25%1.61M-77.09%547K
-Change in other current liabilities 80.36%-272K182.84%695K-199.30%-992K-179.05%-1.47M-205.26%-240K-0.44%-1.39M-459.33%-839K28.74%999K-192.59%-525K109.33%228K
-Change in other working capital -149.49%-241K601.64%306K58.93%-292K130.62%712K292.10%997K127.96%487K-279.41%-61K-625.51%-711K-89.64%-2.33M-1.57%-519K
Cash from discontinued investing activities -255.56%-42K17.78%-37K-160.71%-73K-102.07%-18K-90.85%28K158.70%27K-142.86%-45K-105.57%-28K321.99%868K178.26%306K
Operating cash flow 106.71%4.16M130.42%188K-347.95%-967K-37.07%10.62M58.66%8.84M-9.57%2.01M-116.98%-618K-92.83%390K-2.90%16.88M117.37%5.57M
Investing cash flow
Cash flow from continuing investing activities 38.27%112K20.83%232K475.68%213K69.95%-7.08M44.93%-7.39M143.55%81K128.57%192K100.40%37K19.94%-23.57M-148.81%-13.43M
Net PPE purchase and sale --0--0--02.00%-98K--0--0-133.33%-21K4.94%-77K92.86%-100K--0
Net intangibles purchase and sale 39.05%-103K-248.72%-136K-20.73%-99K71.68%-390K75.06%-100K63.58%-169K88.83%-39K49.69%-82K-140.31%-1.38M-197.04%-401K
Net business purchase and sale ------------67.54%-7.48M43.45%-7.48M------------29.63%-23.04M-177.54%-13.22M
Net other investing changes 66.00%415K46.03%368K59.18%312K-6.38%881K-7.11%183K-30.17%250K-9.68%252K83.18%196K-82.14%941K3.14%197K
Cash from discontinued investing activities
Investing cash flow 38.27%112K20.83%232K475.68%213K69.95%-7.08M44.93%-7.39M143.55%81K128.57%192K100.40%37K19.94%-23.57M-148.81%-13.43M
Financing cash flow
Cash flow from continuing financing activities -6.91%-3.27M75.92%-1.38M-79.26%981K-161.77%-5.24M-112.91%-1.21M-87.08%-3.06M-55.76%-5.71M7.11%4.73M2,546.40%8.49M1,440.63%9.37M
Net issuance payments of debt -9.28%-2.43M88.98%-537K-68.06%1.82M-115.03%-1.77M-103.67%-374K-176.00%-2.22M-71.78%-4.88M8.70%5.7M264.54%11.8M8,546.61%10.2M
Cash dividends paid -0.60%-841K-0.36%-838K-0.60%-838K-0.88%-3.34M-0.48%-836K-0.84%-836K-0.85%-835K-1.34%-833K-5.41%-3.31M-1.09%-832K
Net other financing activities ---------------131K--0--0--0---131K--------
Cash from discontinued financing activities
Financing cash flow -6.91%-3.27M75.92%-1.38M-79.26%981K-161.77%-5.24M-112.91%-1.21M-87.08%-3.06M-55.76%-5.71M7.11%4.73M2,546.40%8.49M1,440.63%9.37M
Net cash flow
Beginning cash position -70.35%614K-80.88%1.57M-55.99%1.34M142.75%3.05M-27.69%1.11M83.60%2.07M349.45%8.21M142.75%3.05M-90.81%1.26M-67.95%1.54M
Current changes in cash 204.79%1.01M84.44%-955K-95.60%227K-195.20%-1.71M-84.68%232K-336.12%-961K-779.08%-6.14M804.91%5.16M114.45%1.79M142.85%1.51M
End cash Position 46.04%1.62M-70.35%614K-80.88%1.57M-55.99%1.34M-55.99%1.34M-27.69%1.11M83.60%2.07M349.45%8.21M142.75%3.05M142.75%3.05M
Free cash flow 120.07%4.06M107.67%52K-561.47%-1.07M-34.21%10.13M69.04%8.74M5.25%1.84M-120.66%-678K-95.56%231K-0.05%15.4M197.18%5.17M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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

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