US Stock MarketDetailed Quotes

HCIIP HCIIP

Watchlist
  • 0.000
  • 0.0000.00%
15min DelayClose Sep 6 09:30 ET
0Market Cap0.00P/E (TTM)

HCIIP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
68.87%-29M
83.63%181.99M
1,922,250.00%230.66M
740.25%153.34M
278.93%71.38M
-160.82%-93.17M
72.82%99.11M
-100.01%-12K
-61.85%18.25M
15.08%-39.89M
Net income from continuing operations
283.68%57.1M
220.10%56.96M
263.47%89.26M
1,443.30%40.91M
130.42%15.67M
274.22%14.88M
537.51%17.79M
-853.98%-54.6M
84.74%2.65M
-957.99%-51.5M
Operating gains losses
-129.29%-70K
97.65%-196K
-11.42%-7.42M
113.27%533K
121.09%151K
148.78%239K
-481.52%-8.34M
43.46%-6.66M
-35.95%-4.02M
75.00%-716K
Deferred tax
-277.21%-964K
71.59%5.6M
88.85%-1.1M
-646,800.00%-6.47M
126.84%1.56M
-71.17%544K
154.73%3.27M
-965.24%-9.88M
-100.01%-1K
-78.08%-5.8M
Other non cash items
509.41%348K
-127.53%-68K
99.99%-1K
-1,816.67%-115K
99.62%-48K
---85K
--247K
-818.96%-13.09M
-101.09%-6K
-1,091.07%-12.65M
Change in working capital
22.73%-86.55M
45.32%121.89M
182.83%138.95M
794.06%116.65M
110.08%50.43M
-182.52%-112.01M
62.17%83.88M
-35.56%49.13M
-63.39%13.05M
154.67%24.01M
-Change in receivables
-95.86%2.11M
-58.30%33.83M
154.06%313.85M
-55.10%126.39M
106.15%55.34M
1,616.18%51.01M
131.70%81.12M
-6,585.45%-580.51M
635.75%281.48M
-2,420.12%-899.97M
-Change in prepaid assets
3.90%-92.57M
49.49%53.88M
32.46%-28.33M
-64.16%19.91M
125.02%12.05M
-46.58%-96.33M
120.10%36.04M
-314.27%-41.94M
43.88%55.56M
24.59%-48.16M
-Change in loss and loss adjustment expense reserves
87.68%-7.07M
91.77%-6.36M
-146.18%-298.56M
61.03%-124.02M
-104.14%-39.87M
-1,522.45%-57.35M
-3,158.32%-77.32M
2,486.27%646.46M
-1,036.25%-318.21M
158,491.12%963.02M
-Change in deferred acquisition costs
-586.03%-7.41M
-101.98%-2.24M
-78.54%2.61M
-22.44%2.12M
59.57%75K
-71.58%1.53M
-127.58%-1.11M
187.97%12.17M
125.89%2.74M
101.74%47K
-Change in payables and accrued expense
288.70%2.44M
-46.19%9.74M
353.49%9.65M
-236.12%-21.74M
205.34%14.58M
-106.46%-1.29M
617.02%18.11M
-168.34%-3.81M
-496.08%-6.47M
-884.58%-13.84M
-Change in funds withheld
65.11%-172K
354.72%15.91M
-25.09%18.69M
-20.86%14.67M
-93.36%1.01M
-130.81%-493K
133.79%3.5M
133.84%24.94M
196.70%18.54M
141.44%15.16M
-Change in unearned premiums
4,364.69%40.94M
-66.84%8.97M
2,031.36%130.42M
511.03%88.98M
20.90%15.37M
-114.64%-960K
218.22%27.03M
-93.87%6.12M
-179.72%-21.65M
-42.98%12.71M
-Change in other current assets
6.64%-8.43M
-19.09%-6.66M
-27.67%-19.89M
59.19%-1.74M
-354.60%-3.54M
6.05%-9.02M
-80.21%-5.59M
-447.25%-15.58M
-243.87%-4.26M
134.35%1.39M
-Change in other working capital
-1,887.46%-16.39M
606.24%14.83M
722.94%10.51M
126.71%12.08M
27.74%-4.59M
118.91%917K
-70.61%2.1M
171.70%1.28M
169.56%5.33M
-720.84%-6.35M
Cash from discontinued operating activities
Operating cash flow
68.87%-29M
83.63%181.99M
1,922,250.00%230.66M
740.25%153.34M
278.93%71.38M
-160.82%-93.17M
72.82%99.11M
-100.01%-12K
-61.85%18.25M
15.08%-39.89M
Investing cash flow
Cash flow from continuing investing activities
-325.44%-174.56M
72.56%-4.87M
100.98%4.27M
82.59%-21.45M
-169.67%-33.96M
130.95%77.43M
83.84%-17.76M
-1,279.14%-434.54M
-7,079.32%-123.19M
1,893.34%48.74M
Net investment purchase and sale
-318.19%-170.23M
103.96%1.56M
102.39%10.57M
99.72%-342K
-183.63%-27.8M
131.38%78.02M
62.62%-39.31M
-1,205.81%-442.47M
-2,486.86%-121.9M
1,402.66%33.24M
Net PPE purchase and sale
15.47%-1.09M
35.60%-946K
-2.54%-6.5M
-44.84%-1.32M
-101.50%-2.42M
45.40%-1.29M
21.06%-1.47M
-91.11%-6.34M
-23.81%-910K
8.10%-1.2M
Net intangibles purchase and sale
----
----
53.00%-1.79M
--0
----
----
----
---3.8M
--0
--0
Net business purchase and sale
-350.71%-707K
-134.71%-399K
24.61%-1.48M
-19.18%-727K
-307.51%-868K
121.78%282K
-212.58%-170K
47.63%-1.97M
79.10%-610K
-55.47%-213K
Net other investing changes
----
----
----
----
----
----
----
--14.5M
--0
----
Cash from discontinued investing activities
Investing cash flow
-325.44%-174.56M
72.56%-4.87M
100.98%4.27M
82.59%-21.45M
-169.67%-33.96M
130.95%77.43M
83.84%-17.76M
-1,279.14%-434.54M
-7,079.32%-123.19M
1,893.34%48.74M
Financing cash flow
Cash flow from continuing financing activities
-177.62%-5.98M
-312.76%-58.2M
63.43%67.12M
608.99%80.87M
44.79%-7.35M
-90.08%7.7M
-92.41%-14.1M
-36.13%41.07M
-255.40%-15.89M
-78.42%-13.31M
Net issuance payments of debt
-117.84%-2.13M
790.70%49.41M
-97.10%4.54M
50.98%-125K
56.92%-109K
-92.41%11.93M
-2,772.69%-7.15M
1,709.99%156.49M
-101.73%-255K
-3.69%-253K
Net common stock issuance
-0.21%-480K
-82.62%-557K
194.88%83.79M
796.30%84.57M
--0
99.31%-479K
23.37%-305K
-6,620.85%-88.31M
-202,333.33%-12.15M
---6.18M
Cash dividends paid
-21.38%-4.17M
-16.35%-3.99M
9.94%-13.72M
1.01%-3.42M
4.99%-3.43M
15.03%-3.44M
16.76%-3.43M
-8.30%-15.23M
16.08%-3.46M
-8.03%-3.61M
Net other financing charges
354.75%805K
-3,110.44%-103.06M
36.91%-7.5M
-450.00%-154K
-16.52%-3.82M
94.75%-316K
-25.49%-3.21M
-113.29%-11.88M
93.03%-28K
15.60%-3.27M
Cash from discontinued financing activities
Financing cash flow
-177.62%-5.98M
-312.76%-58.2M
63.43%67.12M
608.99%80.87M
44.79%-7.35M
-90.08%7.7M
-92.41%-14.1M
-36.13%41.07M
-255.40%-15.89M
-78.42%-13.31M
Net cash flow
Beginning cash position
115.95%658.69M
127.02%539.77M
-62.34%237.76M
-8.81%327.01M
-18.21%296.98M
-46.62%305.01M
-62.34%237.76M
45.56%631.34M
-37.26%358.6M
-42.25%363.09M
Current changes in cash
-2,507.84%-209.54M
76.82%118.92M
176.76%302.04M
276.09%212.76M
774.28%30.07M
96.14%-8.04M
212.32%67.25M
-299.07%-393.48M
-301.98%-120.82M
92.20%-4.46M
Effect of exchange rate changes
-1,600.00%-15K
233.33%4K
57.14%-42K
83.33%-2K
-26.67%-38K
103.23%1K
88.00%-3K
-81.48%-98K
0.00%-12K
-1,100.00%-30K
End cash position
51.23%449.13M
115.95%658.69M
127.02%539.77M
127.02%539.77M
-8.81%327.01M
-18.21%296.98M
-46.62%305.01M
-62.34%237.76M
-62.34%237.76M
-37.26%358.6M
Free cash flow
68.14%-30.1M
85.42%181.04M
2,290.19%222.37M
776.75%152.02M
263.46%67.17M
-148.00%-94.46M
88.90%97.64M
-110.90%-10.15M
-63.18%17.34M
14.90%-41.09M
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
--
--
(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(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 68.87%-29M83.63%181.99M1,922,250.00%230.66M740.25%153.34M278.93%71.38M-160.82%-93.17M72.82%99.11M-100.01%-12K-61.85%18.25M15.08%-39.89M
Net income from continuing operations 283.68%57.1M220.10%56.96M263.47%89.26M1,443.30%40.91M130.42%15.67M274.22%14.88M537.51%17.79M-853.98%-54.6M84.74%2.65M-957.99%-51.5M
Operating gains losses -129.29%-70K97.65%-196K-11.42%-7.42M113.27%533K121.09%151K148.78%239K-481.52%-8.34M43.46%-6.66M-35.95%-4.02M75.00%-716K
Deferred tax -277.21%-964K71.59%5.6M88.85%-1.1M-646,800.00%-6.47M126.84%1.56M-71.17%544K154.73%3.27M-965.24%-9.88M-100.01%-1K-78.08%-5.8M
Other non cash items 509.41%348K-127.53%-68K99.99%-1K-1,816.67%-115K99.62%-48K---85K--247K-818.96%-13.09M-101.09%-6K-1,091.07%-12.65M
Change in working capital 22.73%-86.55M45.32%121.89M182.83%138.95M794.06%116.65M110.08%50.43M-182.52%-112.01M62.17%83.88M-35.56%49.13M-63.39%13.05M154.67%24.01M
-Change in receivables -95.86%2.11M-58.30%33.83M154.06%313.85M-55.10%126.39M106.15%55.34M1,616.18%51.01M131.70%81.12M-6,585.45%-580.51M635.75%281.48M-2,420.12%-899.97M
-Change in prepaid assets 3.90%-92.57M49.49%53.88M32.46%-28.33M-64.16%19.91M125.02%12.05M-46.58%-96.33M120.10%36.04M-314.27%-41.94M43.88%55.56M24.59%-48.16M
-Change in loss and loss adjustment expense reserves 87.68%-7.07M91.77%-6.36M-146.18%-298.56M61.03%-124.02M-104.14%-39.87M-1,522.45%-57.35M-3,158.32%-77.32M2,486.27%646.46M-1,036.25%-318.21M158,491.12%963.02M
-Change in deferred acquisition costs -586.03%-7.41M-101.98%-2.24M-78.54%2.61M-22.44%2.12M59.57%75K-71.58%1.53M-127.58%-1.11M187.97%12.17M125.89%2.74M101.74%47K
-Change in payables and accrued expense 288.70%2.44M-46.19%9.74M353.49%9.65M-236.12%-21.74M205.34%14.58M-106.46%-1.29M617.02%18.11M-168.34%-3.81M-496.08%-6.47M-884.58%-13.84M
-Change in funds withheld 65.11%-172K354.72%15.91M-25.09%18.69M-20.86%14.67M-93.36%1.01M-130.81%-493K133.79%3.5M133.84%24.94M196.70%18.54M141.44%15.16M
-Change in unearned premiums 4,364.69%40.94M-66.84%8.97M2,031.36%130.42M511.03%88.98M20.90%15.37M-114.64%-960K218.22%27.03M-93.87%6.12M-179.72%-21.65M-42.98%12.71M
-Change in other current assets 6.64%-8.43M-19.09%-6.66M-27.67%-19.89M59.19%-1.74M-354.60%-3.54M6.05%-9.02M-80.21%-5.59M-447.25%-15.58M-243.87%-4.26M134.35%1.39M
-Change in other working capital -1,887.46%-16.39M606.24%14.83M722.94%10.51M126.71%12.08M27.74%-4.59M118.91%917K-70.61%2.1M171.70%1.28M169.56%5.33M-720.84%-6.35M
Cash from discontinued operating activities
Operating cash flow 68.87%-29M83.63%181.99M1,922,250.00%230.66M740.25%153.34M278.93%71.38M-160.82%-93.17M72.82%99.11M-100.01%-12K-61.85%18.25M15.08%-39.89M
Investing cash flow
Cash flow from continuing investing activities -325.44%-174.56M72.56%-4.87M100.98%4.27M82.59%-21.45M-169.67%-33.96M130.95%77.43M83.84%-17.76M-1,279.14%-434.54M-7,079.32%-123.19M1,893.34%48.74M
Net investment purchase and sale -318.19%-170.23M103.96%1.56M102.39%10.57M99.72%-342K-183.63%-27.8M131.38%78.02M62.62%-39.31M-1,205.81%-442.47M-2,486.86%-121.9M1,402.66%33.24M
Net PPE purchase and sale 15.47%-1.09M35.60%-946K-2.54%-6.5M-44.84%-1.32M-101.50%-2.42M45.40%-1.29M21.06%-1.47M-91.11%-6.34M-23.81%-910K8.10%-1.2M
Net intangibles purchase and sale --------53.00%-1.79M--0---------------3.8M--0--0
Net business purchase and sale -350.71%-707K-134.71%-399K24.61%-1.48M-19.18%-727K-307.51%-868K121.78%282K-212.58%-170K47.63%-1.97M79.10%-610K-55.47%-213K
Net other investing changes ------------------------------14.5M--0----
Cash from discontinued investing activities
Investing cash flow -325.44%-174.56M72.56%-4.87M100.98%4.27M82.59%-21.45M-169.67%-33.96M130.95%77.43M83.84%-17.76M-1,279.14%-434.54M-7,079.32%-123.19M1,893.34%48.74M
Financing cash flow
Cash flow from continuing financing activities -177.62%-5.98M-312.76%-58.2M63.43%67.12M608.99%80.87M44.79%-7.35M-90.08%7.7M-92.41%-14.1M-36.13%41.07M-255.40%-15.89M-78.42%-13.31M
Net issuance payments of debt -117.84%-2.13M790.70%49.41M-97.10%4.54M50.98%-125K56.92%-109K-92.41%11.93M-2,772.69%-7.15M1,709.99%156.49M-101.73%-255K-3.69%-253K
Net common stock issuance -0.21%-480K-82.62%-557K194.88%83.79M796.30%84.57M--099.31%-479K23.37%-305K-6,620.85%-88.31M-202,333.33%-12.15M---6.18M
Cash dividends paid -21.38%-4.17M-16.35%-3.99M9.94%-13.72M1.01%-3.42M4.99%-3.43M15.03%-3.44M16.76%-3.43M-8.30%-15.23M16.08%-3.46M-8.03%-3.61M
Net other financing charges 354.75%805K-3,110.44%-103.06M36.91%-7.5M-450.00%-154K-16.52%-3.82M94.75%-316K-25.49%-3.21M-113.29%-11.88M93.03%-28K15.60%-3.27M
Cash from discontinued financing activities
Financing cash flow -177.62%-5.98M-312.76%-58.2M63.43%67.12M608.99%80.87M44.79%-7.35M-90.08%7.7M-92.41%-14.1M-36.13%41.07M-255.40%-15.89M-78.42%-13.31M
Net cash flow
Beginning cash position 115.95%658.69M127.02%539.77M-62.34%237.76M-8.81%327.01M-18.21%296.98M-46.62%305.01M-62.34%237.76M45.56%631.34M-37.26%358.6M-42.25%363.09M
Current changes in cash -2,507.84%-209.54M76.82%118.92M176.76%302.04M276.09%212.76M774.28%30.07M96.14%-8.04M212.32%67.25M-299.07%-393.48M-301.98%-120.82M92.20%-4.46M
Effect of exchange rate changes -1,600.00%-15K233.33%4K57.14%-42K83.33%-2K-26.67%-38K103.23%1K88.00%-3K-81.48%-98K0.00%-12K-1,100.00%-30K
End cash position 51.23%449.13M115.95%658.69M127.02%539.77M127.02%539.77M-8.81%327.01M-18.21%296.98M-46.62%305.01M-62.34%237.76M-62.34%237.76M-37.26%358.6M
Free cash flow 68.14%-30.1M85.42%181.04M2,290.19%222.37M776.75%152.02M263.46%67.17M-148.00%-94.46M88.90%97.64M-110.90%-10.15M-63.18%17.34M14.90%-41.09M
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

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg