bf/NYSE:H_icon.jpeg

NYSE:H

Hyatt Hotels Corporation

  • Stock

USD

Last Close

149.17

17/05 20:00

Market Cap

13.45B

Beta: 1.37

Volume Today

372.51K

Avg: 918.13K

PE Ratio

24.25

PFCF: 26.39

Dividend Yield

0.35%

Payout:2.89%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
205M
-
346M
68.78%
124M
64.16%
204M
64.52%
250M
22.55%
769M
207.60%
766M
0.39%
-703M
191.78%
-222M
68.42%
455M
304.95%
220M
51.65%
depreciation and amortization
345M
-
354M
2.61%
320M
9.60%
342M
6.88%
366M
7.02%
327M
10.66%
364M
11.31%
341M
6.32%
337M
1.17%
461M
36.80%
397M
13.88%
deferred income tax
-7M
-
-28M
300%
-103M
267.86%
-3M
97.09%
47M
1,666.67%
-33M
170.21%
28M
184.85%
-59M
310.71%
200M
438.98%
-259M
229.50%
-125M
51.74%
stock based compensation
-44M
-
52M
218.18%
26M
50%
26M
0%
32M
23.08%
28M
12.50%
35M
25%
28M
20%
59M
110.71%
61M
3.39%
75M
22.95%
change in working capital
-31M
-
24M
177.42%
25M
4.17%
-32M
228.00%
126M
493.75%
-79M
162.70%
-8M
89.87%
-404M
4,950%
388M
196.04%
167M
56.96%
203M
21.56%
accounts receivables
1M
-
-100M
10,100%
14M
114.00%
17M
21.43%
1M
94.12%
20M
-
133M
565%
-85M
163.91%
-209M
145.88%
inventory
3M
-
8M
166.67%
1M
87.50%
2M
100%
12M
500%
1M
-
-133M
13,400%
85M
163.91%
209M
145.88%
accounts payables
71M
-
186M
161.97%
-7M
103.76%
7M
200%
95M
1,257.14%
-80M
184.21%
26M
132.50%
-249M
1,057.69%
87M
134.94%
96M
10.34%
-29M
130.21%
other working capital
-106M
-
-70M
33.96%
17M
124.29%
-58M
441.18%
18M
131.03%
1M
94.44%
-55M
5,600%
-155M
181.82%
301M
294.19%
71M
76.41%
232M
226.76%
other non cash items
-12M
-
-275M
2,191.67%
146M
153.09%
-48M
132.88%
-201M
318.75%
-671M
233.83%
-789M
17.59%
186M
123.57%
-447M
340.32%
-211M
52.80%
27M
112.80%
net cash provided by operating activities
456M
-
473M
3.73%
538M
13.74%
489M
9.11%
620M
26.79%
341M
45%
396M
16.13%
-611M
254.29%
315M
151.55%
674M
113.97%
797M
18.25%
investments in property plant and equipment
-232M
-
-253M
9.05%
-269M
6.32%
-211M
21.56%
-298M
41.23%
-297M
0.34%
-369M
24.24%
-122M
66.94%
-111M
9.02%
-201M
81.08%
-198M
1.49%
acquisitions net
-814M
-
-548M
32.68%
-3M
99.45%
-492M
16,300%
-259M
47.36%
-687M
165.25%
-38M
94.47%
-60M
57.89%
-2.85B
4,645%
-128M
95.50%
-185M
44.53%
purchases of investments
-729M
-
-535M
26.61%
-567M
5.98%
-571M
0.71%
-558M
2.28%
-665M
19.18%
-350M
47.37%
-1.14B
226.57%
-793M
30.62%
-952M
20.05%
-526M
44.75%
sales maturities of investments
827M
-
377M
54.41%
543M
44.03%
589M
8.47%
905M
53.65%
624M
31.05%
349M
44.07%
542M
55.30%
1.24B
128.78%
1.06B
14.52%
583M
45%
other investing activites
801M
-
1.33B
66.29%
249M
81.31%
305M
22.49%
476M
56.07%
1.40B
193.91%
993M
29.02%
47M
95.27%
739M
1,472.34%
637M
13.80%
-39M
106.12%
net cash used for investing activites
-147M
-
373M
353.74%
-47M
112.60%
-380M
708.51%
266M
170%
374M
40.60%
585M
56.42%
-736M
225.81%
-1.77B
140.76%
416M
123.48%
-365M
187.74%
debt repayment
-368M
-
-399M
8.42%
-5M
98.75%
-438M
8,660%
-782M
78.54%
-231M
70.46%
-409M
77.06%
-406M
0.73%
-1.22B
200%
-711M
41.63%
-64M
91.00%
common stock issued
416M
-
400M
3.85%
2.04B
408.75%
575M
71.74%
common stock repurchased
-275M
-
-443M
61.09%
-715M
61.40%
-272M
61.96%
-743M
173.16%
-946M
27.32%
-421M
55.50%
-69M
83.61%
-369M
-
-453M
22.76%
dividends paid
-68M
-
-80M
17.65%
-20M
75%
-47M
-
other financing activites
379M
-
235M
37.99%
5M
97.87%
614M
12,180%
667M
8.63%
-21M
103.15%
-31M
47.62%
-15M
51.61%
1.93B
12,973.33%
-26M
101.35%
-14M
46.15%
net cash used provided by financing activities
-264M
-
-607M
129.92%
-715M
17.79%
-96M
86.57%
-858M
793.75%
-850M
0.93%
-541M
36.35%
1.52B
381.89%
1.29B
15.54%
-1.11B
185.87%
-578M
47.74%
effect of forex changes on cash
-4M
-
-8M
100%
-4M
50%
12M
400%
-7M
158.33%
5M
171.43%
1M
80%
-4M
500%
-3M
25%
18M
700%
-2M
111.11%
net change in cash
41M
-
231M
463.41%
-228M
198.70%
25M
110.96%
21M
16%
-130M
719.05%
441M
439.23%
174M
60.54%
-172M
198.85%
2M
101.16%
-115M
5,850%
cash at beginning of period
413M
-
454M
9.93%
685M
50.88%
457M
33.28%
482M
5.47%
752M
56.02%
622M
17.29%
1.06B
70.90%
1.24B
16.37%
1.06B
13.90%
1.03B
3.29%
cash at end of period
454M
-
685M
50.88%
457M
33.28%
482M
5.47%
503M
4.36%
622M
23.66%
1.06B
70.90%
1.24B
16.37%
1.06B
13.90%
1.07B
0.19%
915M
14.25%
operating cash flow
456M
-
473M
3.73%
538M
13.74%
489M
9.11%
620M
26.79%
341M
45%
396M
16.13%
-611M
254.29%
315M
151.55%
674M
113.97%
797M
18.25%
capital expenditure
-232M
-
-253M
9.05%
-269M
6.32%
-211M
21.56%
-298M
41.23%
-297M
0.34%
-369M
24.24%
-122M
66.94%
-111M
9.02%
-201M
81.08%
-198M
1.49%
free cash flow
224M
-
220M
1.79%
269M
22.27%
278M
3.35%
322M
15.83%
44M
86.34%
27M
38.64%
-733M
2,814.81%
204M
127.83%
473M
131.86%
599M
26.64%

All numbers in USD (except ratios and percentages)