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NYSE:HGTY

Hagerty, Inc.

  • Stock

USD

Last Close

12.00

30/08 20:00

Market Cap

959.88M

Beta: -

Volume Today

164.51K

Avg: 104.70K

PE Ratio

−17.35

PFCF: 44.27

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Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
10.98M
-
-11.61M
205.77%
-6.85M
41.00%
12.50M
282.51%
-547.27K
104.38%
-66.46M
12,043.81%
15.87M
123.87%
-5.54M
134.94%
24.31M
538.63%
-32.23M
232.58%
-15.03M
53.39%
15.54M
203.42%
18.62M
19.85%
14.57M
21.76%
8.20M
43.73%
10.38M
26.58%
depreciation and amortization
3.22M
-
3.60M
11.93%
4.37M
21.28%
5.02M
14.96%
5.89M
17.15%
6.86M
16.57%
7.15M
4.15%
8.30M
16.13%
8.89M
7.11%
9.55M
7.42%
13.74M
43.91%
10.40M
24.35%
10.75M
3.42%
10.92M
1.52%
10.56M
3.26%
10.01M
5.17%
deferred income tax
789.48K
-
-598.00K
175.75%
613K
202.51%
2.09M
240.28%
1.20M
42.38%
-862.82K
171.79%
462K
153.55%
2.09M
352.60%
820K
60.78%
-400K
148.78%
937K
334.25%
2.54M
171.40%
1.49M
41.29%
-2.05M
237.44%
-571K
72.17%
stock based compensation
197.76K
-
2.41M
1,119.09%
2.09M
13.14%
63.51K
96.97%
161.98K
155.04%
42.65M
26,228.29%
4.31M
-
3.86M
10.42%
3.96M
2.75%
4.11M
3.76%
4.11M
0.10%
4.93M
20.10%
4.86M
1.52%
4.54M
6.52%
4.38M
3.52%
change in working capital
-7.34M
-
11.14M
251.77%
20.79M
86.62%
27.19M
30.78%
10.61M
60.97%
-25.26M
337.99%
16.88M
166.82%
36.12M
114.02%
39.62M
9.69%
-34.13M
186.16%
6.38M
118.69%
21.78M
241.36%
23.33M
7.11%
-6.01M
125.77%
1.77M
-
accounts receivables
1.31M
-
30.09M
2,190.24%
-23.23M
177.20%
-46.48M
100.06%
-886.66K
98.09%
34.48M
3,988.86%
-23.49M
168.13%
-54.59M
132.36%
-3.04M
94.44%
31.66M
1,142.65%
3.78M
88.07%
-97.33M
2,676.81%
-13.45M
86.18%
37.12M
375.96%
42.74M
15.12%
-82.04M
291.97%
inventory
11.01M
-
-25.04M
327.46%
32.55M
229.98%
39.01M
19.85%
18.29M
53.13%
-28.44M
255.54%
78.47M
-
40.46M
48.43%
-8.61M
121.28%
accounts payables
-21.56M
-
-12.09M
43.95%
12.00M
199.31%
31.83M
165.21%
-9.06M
128.46%
-28.78M
217.72%
17.01M
159.11%
37.37M
119.67%
3.33M
91.08%
-36.46M
1,193.82%
19.51M
153.52%
40.66M
108.43%
-14.85M
136.52%
-33.81M
127.66%
other working capital
1.90M
-
18.18M
857.07%
-533K
102.93%
2.82M
629.22%
2.27M
19.45%
-2.51M
210.51%
23.36M
1,030.15%
53.33M
128.35%
39.32M
26.28%
-29.33M
174.60%
-16.91M
42.36%
-26K
99.85%
11.17M
43,061.54%
-712K
106.37%
83.81M
-
other non cash items
-217.14K
-
473.07K
317.86%
-19K
104.02%
211.94K
1,215.46%
-29.70K
114.01%
-8.24K
72.27%
-31.34M
380,375.96%
5.64M
118.00%
-43.86M
877.64%
15.02M
134.24%
1.58M
89.48%
4.46M
182.41%
2.53M
43.25%
-9.56M
477.41%
61.88M
-
net cash provided by operating activities
7.63M
-
5.42M
28.99%
21.00M
287.58%
47.08M
124.21%
17.28M
63.28%
-43.08M
349.22%
9.01M
120.92%
50.91M
464.80%
33.64M
33.93%
-38.23M
213.67%
11.73M
130.67%
58.83M
401.61%
61.66M
4.82%
12.73M
79.36%
58.24M
357.56%
64.02M
9.92%
investments in property plant and equipment
-11.20M
-
-13.58M
21.23%
-10.56M
22.21%
-8.47M
19.76%
-12.13M
43.11%
-12.21M
0.66%
-10.53M
13.72%
-10.99M
4.33%
-11.91M
8.38%
-10.95M
8.09%
-8.13M
25.70%
-8.12M
0.18%
-5.30M
34.65%
-4.85M
8.63%
-4.54M
6.38%
-7.40M
63.02%
acquisitions net
-3.58M
-
-2.94M
18.10%
-3.17M
8.01%
-5.54M
74.72%
-2.64M
52.40%
-3.26M
23.82%
-21.28M
551.86%
-7.49M
64.79%
805K
110.74%
-2.69M
434.04%
-6.08M
125.96%
-1.01M
83.41%
-1.61M
59.33%
7K
100.44%
-3.84M
55,000%
purchases of investments
-7.45M
-
-77
100.00%
-4.99M
6,476,697.40%
187.21K
103.75%
-15.25M
8,245.89%
-2.45M
83.95%
-7M
185.95%
-1.79M
74.49%
-4.35M
143.45%
-1.82M
58.05%
-1.10M
39.42%
-3.29M
197.83%
-2.96M
10.18%
-462.22M
15,536.57%
sales maturities of investments
1.21M
-
-23.17K
101.92%
1.22M
-
7M
475.66%
1.15M
-
1.81M
57.74%
1.16M
35.83%
3.34M
186.94%
12.09M
-
other investing activites
435
-
-319.20K
73,480%
4K
101.25%
16.91K
322.88%
-47.48K
380.69%
74.56K
257.05%
15.26M
20,369.66%
-1.65M
110.82%
-15.41M
833.05%
3.58M
123.22%
-7.40M
306.65%
2.64M
135.67%
3.69M
39.92%
-13.39M
462.88%
-6.95M
48.11%
-4.13M
40.63%
net cash used for investing activites
-14.78M
-
-16.83M
13.86%
-21.17M
25.80%
-14.00M
33.90%
-18.59M
32.84%
-15.23M
18.07%
-31.80M
108.74%
-21.36M
32.81%
-26.52M
24.12%
-11.84M
55.34%
-24.80M
109.45%
-6.50M
73.80%
-3.16M
51.35%
-18.18M
475.29%
-18.29M
0.56%
-461.65M
2,424.47%
debt repayment
-7.10M
-
-23.50M
230.99%
-4.50M
-
-24.50M
444.44%
-41.50M
69.39%
-50M
20.48%
-49M
2%
-31M
36.73%
-47.25M
52.42%
-52M
10.05%
-33.60M
35.38%
-42.96M
27.85%
-1.96M
-
common stock issued
80.06M
-
620K
-
common stock repurchased
-4.59M
-
dividends paid
-4M
-
-5.60M
-
other financing activites
12M
-
28.80M
139.98%
15M
47.91%
21.84M
45.63%
36.10M
65.26%
311.63M
763.23%
22.50M
92.78%
20.50M
8.89%
49M
139.02%
2.42M
95.07%
28.37M
1,074.30%
43.82M
54.45%
28.93M
33.97%
85.92M
196.94%
-37.23M
143.34%
-9.91M
73.39%
net cash used provided by financing activities
8M
-
21.70M
171.22%
-8.50M
139.17%
21.84M
356.99%
31.60M
44.66%
287.13M
808.63%
-19M
106.62%
-29.50M
55.26%
49M
266.10%
-28.58M
158.33%
-18.88M
33.95%
71.88M
480.76%
-4.67M
106.49%
43.58M
1,033.97%
-37.23M
185.44%
-13.55M
63.61%
effect of forex changes on cash
414.41K
-
690.45K
66.61%
274K
60.32%
-100.21K
136.57%
-369.86K
269.08%
-267.93K
27.56%
6K
102.24%
-793K
13,316.67%
-1.24M
55.86%
1.52M
222.90%
154K
89.86%
755K
390.26%
-623K
182.52%
579K
192.94%
-186K
132.12%
-103K
44.62%
net change in cash
1.26M
-
10.97M
770.02%
-8.40M
176.56%
54.83M
752.53%
29.92M
45.42%
228.55M
663.79%
-41.78M
118.28%
-746K
98.21%
54.88M
7,457.10%
-77.14M
240.55%
-31.80M
58.78%
124.97M
492.99%
53.21M
57.42%
38.70M
27.27%
2.53M
93.46%
-411.29M
16,343.52%
cash at beginning of period
286.84M
-
288.10M
0.44%
299.08M
3.81%
290.68M
2.81%
345.50M
18.86%
375.42M
8.66%
603.97M
60.88%
562.20M
6.92%
561.45M
0.13%
616.33M
9.78%
539.19M
12.52%
507.39M
5.90%
632.36M
24.63%
685.58M
8.42%
724.28M
5.65%
726.81M
0.35%
cash at end of period
288.10M
-
299.08M
3.81%
290.68M
2.81%
345.50M
18.86%
375.42M
8.66%
603.97M
60.88%
562.20M
6.92%
561.45M
0.13%
616.33M
9.78%
539.19M
12.52%
507.39M
5.90%
632.36M
24.63%
685.58M
8.42%
724.28M
5.65%
726.81M
0.35%
315.52M
56.59%
operating cash flow
7.63M
-
5.42M
28.99%
21.00M
287.58%
47.08M
124.21%
17.28M
63.28%
-43.08M
349.22%
9.01M
120.92%
50.91M
464.80%
33.64M
33.93%
-38.23M
213.67%
11.73M
130.67%
58.83M
401.61%
61.66M
4.82%
12.73M
79.36%
58.24M
357.56%
64.02M
9.92%
capital expenditure
-11.20M
-
-13.58M
21.23%
-10.56M
22.21%
-8.47M
19.76%
-12.13M
43.11%
-12.21M
0.66%
-10.53M
13.72%
-10.99M
4.33%
-11.91M
8.38%
-10.95M
8.09%
-8.13M
25.70%
-8.12M
0.18%
-5.30M
34.65%
-4.85M
8.63%
-4.54M
6.38%
-7.40M
63.02%
free cash flow
-3.57M
-
-8.16M
128.56%
10.44M
227.91%
38.60M
269.90%
5.16M
86.64%
-55.29M
1,171.99%
-1.52M
97.25%
39.92M
2,729.97%
21.73M
45.57%
-49.18M
326.34%
3.60M
107.31%
50.71M
1,310.60%
56.36M
11.14%
7.88M
86.02%
53.70M
581.39%
56.62M
5.44%

All numbers in USD (except ratios and percentages)