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HST Host Hotels & Resorts

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  • 16.015
  • -0.235-1.45%
Trading Feb 25 13:42 ET
11.20BMarket Cap16.18P/E (TTM)

Host Hotels & Resorts Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-51.57%554M
-51.57%554M
-38.43%564M
0.37%805M
139.61%1.35B
71.51%1.14B
71.51%1.14B
3.74%916M
14.74%802M
111.65%563M
-Cash and cash equivalents
-51.57%554M
-51.57%554M
-38.43%564M
0.37%805M
139.61%1.35B
71.51%1.14B
71.51%1.14B
3.74%916M
14.74%802M
111.65%563M
Receivables
-42.50%115M
-42.50%115M
-61.25%155M
-61.01%223M
-63.43%230M
-60.55%200M
-60.55%200M
-24.67%400M
-0.87%572M
403.20%629M
-Notes receivable
9.72%79M
9.72%79M
-75.78%78M
-85.15%72M
-85.15%72M
-82.57%72M
-82.57%72M
-22.03%322M
17.43%485M
--485M
-Related party accounts receivable
-71.88%36M
-71.88%36M
-1.28%77M
73.56%151M
9.72%158M
36.17%128M
36.17%128M
-33.90%78M
-46.95%87M
15.20%144M
Restricted cash
11.52%242M
11.52%242M
10.09%240M
13.62%242M
13.79%231M
8.50%217M
8.50%217M
16.58%218M
18.99%213M
24.54%203M
Total current assets
-41.64%911M
-41.64%911M
-37.48%959M
-19.97%1.27B
29.75%1.81B
13.61%1.56B
13.61%1.56B
-4.18%1.53B
9.07%1.59B
44.56%1.4B
Non current assets
Net PPE
12.69%11.47B
12.69%11.47B
12.50%11.51B
2.88%10.57B
-1.57%10.12B
-1.26%10.17B
-1.26%10.17B
1.92%10.23B
1.72%10.27B
1.16%10.28B
-Gross PPE
-40.76%11.47B
-40.76%11.47B
10.19%21.23B
5.07%20.11B
2.64%19.47B
1.92%19.35B
1.92%19.35B
3.50%19.27B
3.16%19.14B
2.57%18.97B
-Accumulated depreciation
----
----
-7.57%-9.72B
-7.62%-9.54B
-7.60%-9.35B
-5.70%-9.18B
-5.70%-9.18B
-5.34%-9.03B
-4.87%-8.86B
-4.28%-8.69B
Investments and advances
31.75%166M
31.75%166M
16.55%162M
8.33%156M
-2.00%147M
-4.55%126M
-4.55%126M
0.72%139M
14.29%144M
4.90%150M
Related parties assets
-71.88%36M
-71.88%36M
-1.28%77M
73.56%151M
9.72%158M
36.17%128M
36.17%128M
-33.90%78M
-46.95%87M
15.20%144M
Other non current assets
32.46%506M
32.46%506M
15.76%448M
14.09%413M
-2.98%391M
-16.78%382M
-16.78%382M
-0.51%387M
-0.82%362M
-28.29%403M
Total non current assets
13.62%12.14B
13.62%12.14B
12.67%12.12B
3.33%11.14B
-1.63%10.65B
-1.96%10.68B
-1.96%10.68B
1.82%10.76B
1.78%10.78B
-0.31%10.83B
Total assets
6.58%13.05B
6.58%13.05B
6.41%13.08B
0.34%12.41B
1.96%12.46B
-0.21%12.24B
-0.21%12.24B
1.03%12.29B
2.67%12.37B
3.35%12.23B
Liabilities
Current liabilities
Payables
-14.19%405M
-14.19%405M
8.33%325M
1.09%279M
10.04%274M
7.52%472M
7.52%472M
27.12%300M
86.49%276M
72.92%249M
-accounts payable
-13.97%351M
-13.97%351M
8.77%248M
8.13%226M
8.22%237M
9.68%408M
9.68%408M
40.74%228M
84.96%209M
125.77%219M
-Due to related parties current
-15.63%54M
-15.63%54M
6.94%77M
-20.90%53M
23.33%37M
-4.48%64M
-4.48%64M
-2.70%72M
91.43%67M
-36.17%30M
Current debt and capital lease obligation
0.30%992M
0.30%992M
0.30%991M
0.30%990M
30.83%1.29B
-0.50%989M
-0.50%989M
-0.50%988M
-0.50%987M
-0.50%986M
-Current debt
0.30%992M
0.30%992M
0.30%991M
0.30%990M
30.83%1.29B
-0.50%989M
-0.50%989M
-0.50%988M
-0.50%987M
-0.50%986M
Current liabilities
-4.38%1.4B
-4.38%1.4B
2.17%1.32B
0.48%1.27B
26.64%1.56B
1.95%1.46B
1.95%1.46B
4.80%1.29B
10.79%1.26B
8.81%1.24B
Non current liabilities
Long term debt and capital lease obligation
22.94%4.65B
22.94%4.65B
22.70%4.65B
4.70%3.97B
-0.21%3.78B
-0.16%3.78B
-0.16%3.78B
-0.05%3.79B
-0.05%3.79B
-0.05%3.79B
-Long term debt
27.05%4.09B
27.05%4.09B
26.86%4.09B
5.68%3.41B
-0.06%3.22B
-0.03%3.22B
-0.03%3.22B
0.09%3.22B
0.09%3.22B
0.09%3.22B
-Long term capital lease obligation
-0.53%560M
-0.53%560M
-1.06%559M
-0.88%562M
-1.05%564M
-0.88%563M
-0.88%563M
-0.88%565M
-0.87%567M
-0.87%570M
Other non current liabilities
28.90%223M
28.90%223M
26.63%233M
8.38%181M
4.76%176M
2.98%173M
2.98%173M
11.52%184M
0.00%167M
-2.33%168M
Total non current liabilities
23.21%4.87B
23.21%4.87B
22.88%4.88B
4.85%4.15B
0.00%3.96B
-0.03%3.96B
-0.03%3.96B
0.43%3.97B
-0.05%3.96B
-0.15%3.96B
Total liabilities
15.77%6.27B
15.77%6.27B
17.81%6.2B
3.79%5.42B
6.33%5.52B
0.50%5.42B
0.50%5.42B
1.47%5.26B
2.37%5.22B
1.84%5.2B
Shareholders'equity
Share capital
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
-common stock
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
Retained earnings
7.39%-777M
7.39%-777M
-3.37%-674M
3.30%-615M
3.65%-712M
10.65%-839M
10.65%-839M
23.83%-652M
28.14%-636M
32.70%-739M
Paid-in capital
-0.97%7.46B
-0.97%7.46B
-1.77%7.45B
-2.23%7.5B
-1.94%7.51B
-2.36%7.54B
-2.36%7.54B
-1.94%7.59B
-0.75%7.67B
-0.22%7.66B
Gains losses not affecting retained earnings
-18.57%-83M
-18.57%-83M
-2.74%-75M
-11.43%-78M
0.00%-73M
6.67%-70M
6.67%-70M
5.19%-73M
5.41%-70M
-5.80%-73M
Total stockholders'equity
-0.36%6.61B
-0.36%6.61B
-2.30%6.71B
-2.27%6.81B
-1.78%6.74B
-1.15%6.63B
-1.15%6.63B
0.85%6.87B
2.88%6.97B
5.18%6.86B
Noncontrolling interests
-12.95%168M
-12.95%168M
5.59%170M
1.16%175M
18.60%204M
14.20%193M
14.20%193M
-5.29%161M
2.98%173M
-17.31%172M
Total equity
-0.72%6.78B
-0.72%6.78B
-2.12%6.88B
-2.18%6.99B
-1.28%6.94B
-0.77%6.83B
-0.77%6.83B
0.70%7.03B
2.88%7.15B
4.49%7.03B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -51.57%554M-51.57%554M-38.43%564M0.37%805M139.61%1.35B71.51%1.14B71.51%1.14B3.74%916M14.74%802M111.65%563M
-Cash and cash equivalents -51.57%554M-51.57%554M-38.43%564M0.37%805M139.61%1.35B71.51%1.14B71.51%1.14B3.74%916M14.74%802M111.65%563M
Receivables -42.50%115M-42.50%115M-61.25%155M-61.01%223M-63.43%230M-60.55%200M-60.55%200M-24.67%400M-0.87%572M403.20%629M
-Notes receivable 9.72%79M9.72%79M-75.78%78M-85.15%72M-85.15%72M-82.57%72M-82.57%72M-22.03%322M17.43%485M--485M
-Related party accounts receivable -71.88%36M-71.88%36M-1.28%77M73.56%151M9.72%158M36.17%128M36.17%128M-33.90%78M-46.95%87M15.20%144M
Restricted cash 11.52%242M11.52%242M10.09%240M13.62%242M13.79%231M8.50%217M8.50%217M16.58%218M18.99%213M24.54%203M
Total current assets -41.64%911M-41.64%911M-37.48%959M-19.97%1.27B29.75%1.81B13.61%1.56B13.61%1.56B-4.18%1.53B9.07%1.59B44.56%1.4B
Non current assets
Net PPE 12.69%11.47B12.69%11.47B12.50%11.51B2.88%10.57B-1.57%10.12B-1.26%10.17B-1.26%10.17B1.92%10.23B1.72%10.27B1.16%10.28B
-Gross PPE -40.76%11.47B-40.76%11.47B10.19%21.23B5.07%20.11B2.64%19.47B1.92%19.35B1.92%19.35B3.50%19.27B3.16%19.14B2.57%18.97B
-Accumulated depreciation ---------7.57%-9.72B-7.62%-9.54B-7.60%-9.35B-5.70%-9.18B-5.70%-9.18B-5.34%-9.03B-4.87%-8.86B-4.28%-8.69B
Investments and advances 31.75%166M31.75%166M16.55%162M8.33%156M-2.00%147M-4.55%126M-4.55%126M0.72%139M14.29%144M4.90%150M
Related parties assets -71.88%36M-71.88%36M-1.28%77M73.56%151M9.72%158M36.17%128M36.17%128M-33.90%78M-46.95%87M15.20%144M
Other non current assets 32.46%506M32.46%506M15.76%448M14.09%413M-2.98%391M-16.78%382M-16.78%382M-0.51%387M-0.82%362M-28.29%403M
Total non current assets 13.62%12.14B13.62%12.14B12.67%12.12B3.33%11.14B-1.63%10.65B-1.96%10.68B-1.96%10.68B1.82%10.76B1.78%10.78B-0.31%10.83B
Total assets 6.58%13.05B6.58%13.05B6.41%13.08B0.34%12.41B1.96%12.46B-0.21%12.24B-0.21%12.24B1.03%12.29B2.67%12.37B3.35%12.23B
Liabilities
Current liabilities
Payables -14.19%405M-14.19%405M8.33%325M1.09%279M10.04%274M7.52%472M7.52%472M27.12%300M86.49%276M72.92%249M
-accounts payable -13.97%351M-13.97%351M8.77%248M8.13%226M8.22%237M9.68%408M9.68%408M40.74%228M84.96%209M125.77%219M
-Due to related parties current -15.63%54M-15.63%54M6.94%77M-20.90%53M23.33%37M-4.48%64M-4.48%64M-2.70%72M91.43%67M-36.17%30M
Current debt and capital lease obligation 0.30%992M0.30%992M0.30%991M0.30%990M30.83%1.29B-0.50%989M-0.50%989M-0.50%988M-0.50%987M-0.50%986M
-Current debt 0.30%992M0.30%992M0.30%991M0.30%990M30.83%1.29B-0.50%989M-0.50%989M-0.50%988M-0.50%987M-0.50%986M
Current liabilities -4.38%1.4B-4.38%1.4B2.17%1.32B0.48%1.27B26.64%1.56B1.95%1.46B1.95%1.46B4.80%1.29B10.79%1.26B8.81%1.24B
Non current liabilities
Long term debt and capital lease obligation 22.94%4.65B22.94%4.65B22.70%4.65B4.70%3.97B-0.21%3.78B-0.16%3.78B-0.16%3.78B-0.05%3.79B-0.05%3.79B-0.05%3.79B
-Long term debt 27.05%4.09B27.05%4.09B26.86%4.09B5.68%3.41B-0.06%3.22B-0.03%3.22B-0.03%3.22B0.09%3.22B0.09%3.22B0.09%3.22B
-Long term capital lease obligation -0.53%560M-0.53%560M-1.06%559M-0.88%562M-1.05%564M-0.88%563M-0.88%563M-0.88%565M-0.87%567M-0.87%570M
Other non current liabilities 28.90%223M28.90%223M26.63%233M8.38%181M4.76%176M2.98%173M2.98%173M11.52%184M0.00%167M-2.33%168M
Total non current liabilities 23.21%4.87B23.21%4.87B22.88%4.88B4.85%4.15B0.00%3.96B-0.03%3.96B-0.03%3.96B0.43%3.97B-0.05%3.96B-0.15%3.96B
Total liabilities 15.77%6.27B15.77%6.27B17.81%6.2B3.79%5.42B6.33%5.52B0.50%5.42B0.50%5.42B1.47%5.26B2.37%5.22B1.84%5.2B
Shareholders'equity
Share capital 0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M
-common stock 0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M0.00%7M
Retained earnings 7.39%-777M7.39%-777M-3.37%-674M3.30%-615M3.65%-712M10.65%-839M10.65%-839M23.83%-652M28.14%-636M32.70%-739M
Paid-in capital -0.97%7.46B-0.97%7.46B-1.77%7.45B-2.23%7.5B-1.94%7.51B-2.36%7.54B-2.36%7.54B-1.94%7.59B-0.75%7.67B-0.22%7.66B
Gains losses not affecting retained earnings -18.57%-83M-18.57%-83M-2.74%-75M-11.43%-78M0.00%-73M6.67%-70M6.67%-70M5.19%-73M5.41%-70M-5.80%-73M
Total stockholders'equity -0.36%6.61B-0.36%6.61B-2.30%6.71B-2.27%6.81B-1.78%6.74B-1.15%6.63B-1.15%6.63B0.85%6.87B2.88%6.97B5.18%6.86B
Noncontrolling interests -12.95%168M-12.95%168M5.59%170M1.16%175M18.60%204M14.20%193M14.20%193M-5.29%161M2.98%173M-17.31%172M
Total equity -0.72%6.78B-0.72%6.78B-2.12%6.88B-2.18%6.99B-1.28%6.94B-0.77%6.83B-0.77%6.83B0.70%7.03B2.88%7.15B4.49%7.03B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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