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KINS Kingstone

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  • 15.960
  • +0.850+5.63%
Close Dec 13 16:00 ET
  • 16.200
  • +0.240+1.50%
Post 20:01 ET
197.09MMarket Cap12.00P/E (TTM)

Kingstone 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
1,631.75%21.74M
152.16%7.12M
281.13%6.1M
-1,137.20%-11.33M
-36.80%4.43M
-78.33%1.26M
-471.60%-13.64M
80.64%-3.37M
-103.76%-915.52K
248.01%7.01M
Net income from continuing operations
297.26%6.98M
964.90%4.51M
128.22%1.43M
72.62%-6.17M
174.58%2.95M
11.51%-3.54M
90.30%-522.02K
45.04%-5.05M
-205.28%-22.52M
-277.31%-3.95M
Operating gains losses
-8,852.40%-365.94K
3,111.82%333.42K
3,399.70%92.36K
-86.57%18.81K
-99.78%1.61K
100.52%4.18K
-96.40%10.38K
103.39%2.64K
101.94%140.06K
116.66%739.84K
Deferred tax
343.31%2.11M
3,558.37%1.21M
130.27%378.02K
77.86%-1.2M
164.17%949.45K
-90.76%-865.54K
97.46%-34.85K
40.87%-1.25M
-146.28%-5.42M
-434.62%-1.48M
Other non cash items
1,484.43%327.96K
137.93%44.96K
-54.34%8.91K
-43.27%75.22K
-81.94%16.12K
1,717.30%20.7K
454.30%18.9K
-49.75%19.5K
-17.33%132.58K
762.37%89.21K
Change in working capital
257.59%12.15M
101.55%220.46K
36.90%3.91M
-179.86%-6.86M
-86.77%1.07M
-58.13%3.4M
-430.22%-14.18M
124.00%2.86M
-77.36%8.58M
279.02%8.08M
-Change in receivables
77.66%-1.89M
41.34%3.09M
141.36%4.56M
67.96%-8.93M
202.35%8.37M
-50.62%-8.45M
134.82%2.19M
-41.45%-11.03M
-718.01%-27.87M
55.44%-8.18M
-Change in loss and loss adjustment expense reserves
-93.56%264.96K
9.74%-5.92M
-88.23%680.58K
-85.13%3.48M
-98.75%142.92K
-48.75%4.11M
-46,967.07%-6.56M
45.71%5.78M
92.56%23.39M
287.20%11.41M
-Change in deferred acquisition costs
-350.88%-2.28M
-111.79%-147.61K
-66.70%375.41K
354.16%4.02M
218.90%729.76K
176.95%907.84K
438.94%1.25M
93.58%1.13M
24.61%-1.58M
37.18%-613.77K
-Change in payables and accrued expense
-66.00%2.16M
93.60%-503.96K
-118.68%-1.22M
-165.26%-2.53M
-1,612.79%-7.53M
191.76%6.34M
-221.82%-7.88M
164.85%6.54M
-118.13%-952.28K
-93.54%497.71K
-Change in unearned premiums
1,159.35%12.89M
219.43%2.86M
-77.16%111.58K
-109.24%-912.68K
63.88%-30.65K
-84.23%1.02M
-171.96%-2.39M
233.81%488.48K
26.92%9.88M
-103.43%-84.85K
-Change in other current assets
99.24%-1.79K
224.79%856.38K
-146.16%-424.6K
-117.05%-825.74K
-114.35%-681.26K
89.94%-235.66K
-70.08%263.67K
-111.09%-172.49K
625.26%4.84M
341.86%4.75M
-Change in other working capital
439.61%1.01M
98.76%-13.02K
-242.47%-170.77K
-233.02%-1.16M
-77.33%67.81K
-152.96%-297.11K
-474.97%-1.05M
144.56%119.86K
-90.98%871.06K
-96.90%299.2K
Cash from discontinued operating activities
Operating cash flow
1,631.75%21.74M
152.16%7.12M
281.13%6.1M
-1,137.20%-11.33M
-36.80%4.43M
-78.33%1.26M
-471.60%-13.64M
80.64%-3.37M
-103.76%-915.52K
248.01%7.01M
Investing cash flow
Cash flow from continuing investing activities
-78.88%393.84K
-87.42%1.98M
-629.20%-11.59M
260.21%9.46M
-63.27%-10.29M
153.93%1.86M
279.03%15.7M
868.09%2.19M
62.97%-5.91M
5.19%-6.3M
Net investment purchase and sale
-53.37%1.09M
-84.67%2.47M
-515.96%-11.05M
933.13%11.29M
-93.21%-9.85M
188.32%2.35M
215.22%16.13M
107.46%2.66M
88.40%-1.35M
-0.43%-5.1M
Net PPE purchase and sale
-45.41%-700.49K
-15.04%-497.5K
-16.07%-540.98K
59.85%-1.83M
63.02%-446.95K
39.89%-481.73K
55.68%-432.46K
70.22%-466.07K
-1.15%-4.55M
23.31%-1.21M
Cash from discontinued investing activities
Investing cash flow
-78.88%393.84K
-87.42%1.98M
-629.20%-11.59M
260.21%9.46M
-63.27%-10.29M
153.93%1.86M
279.03%15.7M
868.09%2.19M
62.97%-5.91M
5.19%-6.3M
Financing cash flow
Cash flow from continuing financing activities
-100.23%-548.73K
55.78%-120.13K
-2.96%-288.57K
79.75%-1.12M
92.47%-290.09K
35.64%-274.05K
39.29%-271.68K
64.23%-280.26K
-54.31%-5.51M
-788.00%-3.85M
Net issuance payments of debt
-2,925.17%-8.29M
-6.02%-286.33K
-6.02%-282.18K
49.24%-1.09M
87.03%-278.08K
---274.05K
---270.08K
---266.16K
---2.14M
---2.14M
Net common stock issuance
--8.9M
----
----
--0
--0
--0
----
----
103.62%60.46K
----
Cash dividends paid
----
----
----
--0
----
----
----
----
24.62%-1.28M
--0
Net other financing charges
---1.16M
-24.33%-1.99K
54.67%-6.39K
98.71%-27.71K
99.32%-12.01K
--0
92.64%-1.6K
96.06%-14.1K
-944.90%-2.15M
-11,958.61%-1.77M
Cash from discontinued financing activities
Financing cash flow
-100.23%-548.73K
55.78%-120.13K
-2.96%-288.57K
79.75%-1.12M
92.47%-290.09K
35.64%-274.05K
39.29%-271.68K
64.23%-280.26K
-54.31%-5.51M
-788.00%-3.85M
Net cash flow
Beginning cash position
-0.94%12.17M
-69.53%3.2M
-24.93%8.98M
-50.77%11.96M
0.14%15.13M
-6.92%12.29M
80.00%10.5M
-50.77%11.96M
24.80%24.29M
-58.15%15.11M
Current changes in cash
658.46%21.59M
402.43%8.97M
-296.42%-5.78M
75.83%-2.98M
-95.24%-6.16M
48.95%2.85M
-75.76%1.79M
92.10%-1.46M
-355.49%-12.33M
73.32%-3.15M
End cash position
123.09%33.76M
-0.94%12.17M
-69.53%3.2M
-24.93%8.98M
-24.93%8.98M
0.14%15.13M
-6.92%12.29M
80.00%10.5M
-50.77%11.96M
-50.77%11.96M
Free cash flow
2,619.16%21.04M
147.03%6.62M
244.99%5.56M
-140.64%-13.15M
-31.34%3.98M
-84.50%773.92K
-622.15%-14.08M
79.78%-3.83M
-127.54%-5.47M
191.89%5.8M
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 1,631.75%21.74M152.16%7.12M281.13%6.1M-1,137.20%-11.33M-36.80%4.43M-78.33%1.26M-471.60%-13.64M80.64%-3.37M-103.76%-915.52K248.01%7.01M
Net income from continuing operations 297.26%6.98M964.90%4.51M128.22%1.43M72.62%-6.17M174.58%2.95M11.51%-3.54M90.30%-522.02K45.04%-5.05M-205.28%-22.52M-277.31%-3.95M
Operating gains losses -8,852.40%-365.94K3,111.82%333.42K3,399.70%92.36K-86.57%18.81K-99.78%1.61K100.52%4.18K-96.40%10.38K103.39%2.64K101.94%140.06K116.66%739.84K
Deferred tax 343.31%2.11M3,558.37%1.21M130.27%378.02K77.86%-1.2M164.17%949.45K-90.76%-865.54K97.46%-34.85K40.87%-1.25M-146.28%-5.42M-434.62%-1.48M
Other non cash items 1,484.43%327.96K137.93%44.96K-54.34%8.91K-43.27%75.22K-81.94%16.12K1,717.30%20.7K454.30%18.9K-49.75%19.5K-17.33%132.58K762.37%89.21K
Change in working capital 257.59%12.15M101.55%220.46K36.90%3.91M-179.86%-6.86M-86.77%1.07M-58.13%3.4M-430.22%-14.18M124.00%2.86M-77.36%8.58M279.02%8.08M
-Change in receivables 77.66%-1.89M41.34%3.09M141.36%4.56M67.96%-8.93M202.35%8.37M-50.62%-8.45M134.82%2.19M-41.45%-11.03M-718.01%-27.87M55.44%-8.18M
-Change in loss and loss adjustment expense reserves -93.56%264.96K9.74%-5.92M-88.23%680.58K-85.13%3.48M-98.75%142.92K-48.75%4.11M-46,967.07%-6.56M45.71%5.78M92.56%23.39M287.20%11.41M
-Change in deferred acquisition costs -350.88%-2.28M-111.79%-147.61K-66.70%375.41K354.16%4.02M218.90%729.76K176.95%907.84K438.94%1.25M93.58%1.13M24.61%-1.58M37.18%-613.77K
-Change in payables and accrued expense -66.00%2.16M93.60%-503.96K-118.68%-1.22M-165.26%-2.53M-1,612.79%-7.53M191.76%6.34M-221.82%-7.88M164.85%6.54M-118.13%-952.28K-93.54%497.71K
-Change in unearned premiums 1,159.35%12.89M219.43%2.86M-77.16%111.58K-109.24%-912.68K63.88%-30.65K-84.23%1.02M-171.96%-2.39M233.81%488.48K26.92%9.88M-103.43%-84.85K
-Change in other current assets 99.24%-1.79K224.79%856.38K-146.16%-424.6K-117.05%-825.74K-114.35%-681.26K89.94%-235.66K-70.08%263.67K-111.09%-172.49K625.26%4.84M341.86%4.75M
-Change in other working capital 439.61%1.01M98.76%-13.02K-242.47%-170.77K-233.02%-1.16M-77.33%67.81K-152.96%-297.11K-474.97%-1.05M144.56%119.86K-90.98%871.06K-96.90%299.2K
Cash from discontinued operating activities
Operating cash flow 1,631.75%21.74M152.16%7.12M281.13%6.1M-1,137.20%-11.33M-36.80%4.43M-78.33%1.26M-471.60%-13.64M80.64%-3.37M-103.76%-915.52K248.01%7.01M
Investing cash flow
Cash flow from continuing investing activities -78.88%393.84K-87.42%1.98M-629.20%-11.59M260.21%9.46M-63.27%-10.29M153.93%1.86M279.03%15.7M868.09%2.19M62.97%-5.91M5.19%-6.3M
Net investment purchase and sale -53.37%1.09M-84.67%2.47M-515.96%-11.05M933.13%11.29M-93.21%-9.85M188.32%2.35M215.22%16.13M107.46%2.66M88.40%-1.35M-0.43%-5.1M
Net PPE purchase and sale -45.41%-700.49K-15.04%-497.5K-16.07%-540.98K59.85%-1.83M63.02%-446.95K39.89%-481.73K55.68%-432.46K70.22%-466.07K-1.15%-4.55M23.31%-1.21M
Cash from discontinued investing activities
Investing cash flow -78.88%393.84K-87.42%1.98M-629.20%-11.59M260.21%9.46M-63.27%-10.29M153.93%1.86M279.03%15.7M868.09%2.19M62.97%-5.91M5.19%-6.3M
Financing cash flow
Cash flow from continuing financing activities -100.23%-548.73K55.78%-120.13K-2.96%-288.57K79.75%-1.12M92.47%-290.09K35.64%-274.05K39.29%-271.68K64.23%-280.26K-54.31%-5.51M-788.00%-3.85M
Net issuance payments of debt -2,925.17%-8.29M-6.02%-286.33K-6.02%-282.18K49.24%-1.09M87.03%-278.08K---274.05K---270.08K---266.16K---2.14M---2.14M
Net common stock issuance --8.9M----------0--0--0--------103.62%60.46K----
Cash dividends paid --------------0----------------24.62%-1.28M--0
Net other financing charges ---1.16M-24.33%-1.99K54.67%-6.39K98.71%-27.71K99.32%-12.01K--092.64%-1.6K96.06%-14.1K-944.90%-2.15M-11,958.61%-1.77M
Cash from discontinued financing activities
Financing cash flow -100.23%-548.73K55.78%-120.13K-2.96%-288.57K79.75%-1.12M92.47%-290.09K35.64%-274.05K39.29%-271.68K64.23%-280.26K-54.31%-5.51M-788.00%-3.85M
Net cash flow
Beginning cash position -0.94%12.17M-69.53%3.2M-24.93%8.98M-50.77%11.96M0.14%15.13M-6.92%12.29M80.00%10.5M-50.77%11.96M24.80%24.29M-58.15%15.11M
Current changes in cash 658.46%21.59M402.43%8.97M-296.42%-5.78M75.83%-2.98M-95.24%-6.16M48.95%2.85M-75.76%1.79M92.10%-1.46M-355.49%-12.33M73.32%-3.15M
End cash position 123.09%33.76M-0.94%12.17M-69.53%3.2M-24.93%8.98M-24.93%8.98M0.14%15.13M-6.92%12.29M80.00%10.5M-50.77%11.96M-50.77%11.96M
Free cash flow 2,619.16%21.04M147.03%6.62M244.99%5.56M-140.64%-13.15M-31.34%3.98M-84.50%773.92K-622.15%-14.08M79.78%-3.83M-127.54%-5.47M191.89%5.8M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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