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BETR Better Home & Finance

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  • 14.360
  • -0.270-1.85%
Close Apr 30 16:00 ET
  • 14.360
  • 0.0000.00%
Post 20:01 ET
217.84MMarket Cap-1.05P/E (TTM)

Better Home & Finance 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
-49.95%264.88M
-49.95%264.88M
-52.91%262.09M
165.24%378.78M
114.15%482.62M
66.43%529.19M
66.43%529.19M
--556.6M
--142.81M
--225.36M
-Cash and cash equivalents
-58.08%211.1M
-58.08%211.1M
-60.58%207.67M
191.97%320.94M
88.38%424.53M
58.38%503.59M
58.38%503.59M
--526.77M
--109.92M
--225.36M
-Short-term investments
110.08%53.77M
110.08%53.77M
82.41%54.41M
75.90%57.84M
--58.09M
--25.6M
--25.6M
--29.83M
--32.88M
----
Receivables
166.64%533.75M
166.64%533.75M
141.56%445.33M
24.61%420.5M
-51.65%194.07M
-33.41%200.18M
-33.41%200.18M
--184.35M
--337.46M
--401.39M
-Loans receivable
191.93%510.72M
191.93%510.72M
156.34%420.89M
25.17%390.65M
-53.01%174.11M
-33.97%174.94M
-33.97%174.94M
--164.19M
--312.08M
--370.54M
-Taxes receivable
-34.31%5.48M
-34.31%5.48M
-26.84%7.11M
-6.37%9.49M
-19.30%8.47M
-53.98%8.35M
-53.98%8.35M
--9.72M
--10.14M
--10.5M
-Other receivables
3.91%17.55M
3.91%17.55M
65.92%17.34M
33.61%20.36M
-43.54%11.49M
-3.64%16.89M
-3.64%16.89M
--10.45M
--15.24M
--20.34M
Inventory
----
----
----
----
----
----
----
--0
--0
--0
Prepaid assets
-33.99%28.41M
-33.99%28.41M
-30.28%29.51M
-14.18%35.28M
-25.28%39.29M
-7.15%43.04M
-7.15%43.04M
--42.33M
--41.11M
--52.58M
Restricted cash
-0.24%24.42M
-0.24%24.42M
5.75%29.41M
5.81%26.46M
2.96%26.08M
-12.92%24.48M
-12.92%24.48M
--27.81M
--25.01M
--25.33M
Total current assets
8.15%861.86M
8.15%861.86M
-5.52%766.33M
57.59%861.02M
5.31%742.05M
14.80%796.88M
14.80%796.88M
--811.08M
--546.38M
--704.65M
Non current assets
Net PPE
-88.74%4.1M
-88.74%4.1M
-60.55%16.32M
-22.57%33.95M
-33.35%34.74M
-48.05%36.44M
-48.05%36.44M
--41.36M
--43.84M
--52.12M
-Gross PPE
-79.94%10.9M
-79.94%10.9M
-60.55%16.32M
-22.57%33.95M
-33.35%34.74M
-39.55%54.34M
-39.55%54.34M
--41.36M
--43.84M
--52.12M
-Accumulated depreciation
62.03%-6.8M
62.03%-6.8M
----
----
----
9.35%-17.9M
9.35%-17.9M
----
----
----
Goodwill and other intangible assets
-36.82%44.55M
-36.82%44.55M
-28.20%58.09M
-32.48%58.19M
-19.64%63.06M
-11.17%70.52M
-11.17%70.52M
--80.9M
--86.18M
--78.47M
-Goodwill
-27.09%23.62M
-27.09%23.62M
2.80%33.4M
-3.17%32.25M
57.06%32.21M
86.28%32.39M
86.28%32.39M
--32.49M
--33.3M
--20.51M
-Other intangible assets
-45.09%20.94M
-45.09%20.94M
-49.01%24.69M
-50.94%25.94M
-46.78%30.85M
-38.50%38.13M
-38.50%38.13M
--48.41M
--52.88M
--57.97M
Financial assets
47.96%2.54M
47.96%2.54M
19.05%4.43M
-98.03%4.73M
-99.27%1.74M
-99.28%1.72M
-99.28%1.72M
--3.72M
--239.93M
--237.68M
Other non current assets
----
----
----
----
----
----
----
----
--10.63M
--8.14M
Total non current assets
-52.89%51.19M
-52.89%51.19M
-37.42%78.83M
-74.55%96.86M
-73.56%99.53M
-72.08%108.67M
-72.08%108.67M
--125.97M
--380.59M
--376.41M
Total assets
0.83%913.06M
0.83%913.06M
-9.81%845.16M
3.33%957.88M
-22.15%841.59M
-16.41%905.55M
-16.41%905.55M
--937.06M
--926.97M
--1.08B
Liabilities
Current liabilities
Payables
-31.07%48.21M
-31.07%48.21M
-31.53%73.29M
-41.43%66.36M
-49.96%59.48M
-22.67%69.93M
-22.67%69.93M
--107.05M
--113.31M
--118.86M
-accounts payable
-27.68%48.13M
-27.68%48.13M
-33.72%68.56M
-42.44%62.27M
-49.86%55.72M
-19.26%66.56M
-19.26%66.56M
--103.44M
--108.18M
--111.13M
-Due to related parties current
----
----
----
----
----
----
----
--460K
----
----
-Other payable
-97.81%74K
-97.81%74K
50.21%4.74M
-20.14%4.1M
-51.35%3.76M
-57.81%3.38M
-57.81%3.38M
--3.15M
--5.13M
--7.73M
Current debt and capital lease obligation
93.37%244.07M
93.37%244.07M
82.88%134.48M
68.86%247.35M
-47.03%126.16M
-12.38%126.22M
-12.38%126.22M
--73.54M
--146.48M
--238.15M
-Current debt
93.37%244.07M
93.37%244.07M
82.88%134.48M
68.86%247.35M
-47.03%126.16M
-12.38%126.22M
-12.38%126.22M
--73.54M
--146.48M
--238.15M
Current deferred liabilities
1,032.59%137.17M
1,032.59%137.17M
886.90%97.78M
229.88%36.59M
--11.83M
-59.90%12.11M
-59.90%12.11M
--9.91M
--11.09M
----
Other current liabilities
--6.12M
--6.12M
----
----
----
----
----
----
----
----
Current liabilities
109.14%435.56M
109.14%435.56M
60.40%305.56M
29.32%350.31M
-44.69%197.47M
-21.32%208.26M
-21.32%208.26M
--190.49M
--270.88M
--357.02M
Non current liabilities
Long term provisions
-61.37%7.52M
-61.37%7.52M
----
----
----
-27.19%19.47M
-27.19%19.47M
----
----
----
Long term debt and capital lease obligation
-4.03%523.83M
-4.03%523.83M
-4.30%522.84M
-39.90%543.6M
-40.54%543.96M
-42.66%545.85M
-42.66%545.85M
--546.31M
--904.46M
--914.84M
-Long term debt
0.99%519.75M
0.99%519.75M
0.98%518.01M
-40.55%516.39M
-40.95%514.76M
-42.46%514.64M
-42.46%514.64M
--513M
--868.58M
--871.72M
-Long term capital lease obligation
-86.92%4.08M
-86.92%4.08M
-85.52%4.82M
-24.19%27.2M
-32.28%29.2M
-45.74%31.2M
-45.74%31.2M
--33.31M
--35.88M
--43.12M
Derivative product liabilities
-57.10%1.41M
-57.10%1.41M
-56.01%1.41M
-51.54%1.75M
-76.51%2.07M
-33.39%3.28M
-33.39%3.28M
--3.21M
--3.62M
--8.81M
Other non current liabilities
-52.32%2.91M
-52.32%2.91M
-62.40%14.97M
-60.63%17.32M
-61.90%21.8M
104.26%6.09M
104.26%6.09M
--39.82M
--43.98M
--57.22M
Total non current liabilities
-6.79%535.67M
-6.79%535.67M
-8.50%539.22M
-40.90%562.66M
-42.11%567.82M
-41.75%574.69M
-41.75%574.69M
--589.33M
--952.06M
--980.86M
Total liabilities
24.05%971.23M
24.05%971.23M
8.33%844.78M
-25.35%912.98M
-42.80%765.3M
-37.43%782.95M
-37.43%782.95M
--779.82M
--1.22B
--1.34B
Shareholders'equity
Share capital
0.00%2K
0.00%2K
-97.30%2K
-99.98%75K
-99.98%75K
-100.00%2K
-100.00%2K
--74K
--436.29M
--436.29M
-common stock
0.00%2K
0.00%2K
-97.30%2K
650.00%75K
650.00%75K
-80.00%2K
-80.00%2K
--74K
--10K
--10K
-Preferred stock
----
----
----
----
----
----
----
--0
--436.28M
--436.28M
Retained earnings
-12.11%-1.91B
-12.11%-1.91B
-11.73%-1.85B
-36.46%-1.8B
-38.09%-1.76B
-45.94%-1.7B
-45.94%-1.7B
---1.66B
---1.32B
---1.27B
Paid-in capital
1.35%1.86B
1.35%1.86B
1.71%1.86B
188.28%1.85B
190.44%1.84B
197.44%1.84B
197.44%1.84B
--1.83B
--642.55M
--635.17M
Gains losses not affecting retained earnings
-12.95%-1.94M
-12.95%-1.94M
207.33%2.61M
16.40%-1.45M
-25.51%-2.03M
-20.45%-1.71M
-20.45%-1.71M
---2.43M
---1.73M
---1.62M
Other equity interest
9.43%-9.16M
9.43%-9.16M
12.06%-9.15M
83.77%-9.13M
80.17%-10.98M
81.00%-10.11M
81.00%-10.11M
---10.4M
---56.25M
---55.35M
Total stockholders'equity
-147.45%-58.17M
-147.45%-58.17M
-99.75%388K
115.17%44.91M
129.71%76.29M
173.02%122.6M
173.02%122.6M
--157.23M
---295.97M
---256.82M
Total equity
-147.45%-58.17M
-147.45%-58.17M
-99.75%388K
115.17%44.91M
129.71%76.29M
173.02%122.6M
173.02%122.6M
--157.23M
---295.97M
---256.82M
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
--
--
--
--
(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 -49.95%264.88M-49.95%264.88M-52.91%262.09M165.24%378.78M114.15%482.62M66.43%529.19M66.43%529.19M--556.6M--142.81M--225.36M
-Cash and cash equivalents -58.08%211.1M-58.08%211.1M-60.58%207.67M191.97%320.94M88.38%424.53M58.38%503.59M58.38%503.59M--526.77M--109.92M--225.36M
-Short-term investments 110.08%53.77M110.08%53.77M82.41%54.41M75.90%57.84M--58.09M--25.6M--25.6M--29.83M--32.88M----
Receivables 166.64%533.75M166.64%533.75M141.56%445.33M24.61%420.5M-51.65%194.07M-33.41%200.18M-33.41%200.18M--184.35M--337.46M--401.39M
-Loans receivable 191.93%510.72M191.93%510.72M156.34%420.89M25.17%390.65M-53.01%174.11M-33.97%174.94M-33.97%174.94M--164.19M--312.08M--370.54M
-Taxes receivable -34.31%5.48M-34.31%5.48M-26.84%7.11M-6.37%9.49M-19.30%8.47M-53.98%8.35M-53.98%8.35M--9.72M--10.14M--10.5M
-Other receivables 3.91%17.55M3.91%17.55M65.92%17.34M33.61%20.36M-43.54%11.49M-3.64%16.89M-3.64%16.89M--10.45M--15.24M--20.34M
Inventory ------------------------------0--0--0
Prepaid assets -33.99%28.41M-33.99%28.41M-30.28%29.51M-14.18%35.28M-25.28%39.29M-7.15%43.04M-7.15%43.04M--42.33M--41.11M--52.58M
Restricted cash -0.24%24.42M-0.24%24.42M5.75%29.41M5.81%26.46M2.96%26.08M-12.92%24.48M-12.92%24.48M--27.81M--25.01M--25.33M
Total current assets 8.15%861.86M8.15%861.86M-5.52%766.33M57.59%861.02M5.31%742.05M14.80%796.88M14.80%796.88M--811.08M--546.38M--704.65M
Non current assets
Net PPE -88.74%4.1M-88.74%4.1M-60.55%16.32M-22.57%33.95M-33.35%34.74M-48.05%36.44M-48.05%36.44M--41.36M--43.84M--52.12M
-Gross PPE -79.94%10.9M-79.94%10.9M-60.55%16.32M-22.57%33.95M-33.35%34.74M-39.55%54.34M-39.55%54.34M--41.36M--43.84M--52.12M
-Accumulated depreciation 62.03%-6.8M62.03%-6.8M------------9.35%-17.9M9.35%-17.9M------------
Goodwill and other intangible assets -36.82%44.55M-36.82%44.55M-28.20%58.09M-32.48%58.19M-19.64%63.06M-11.17%70.52M-11.17%70.52M--80.9M--86.18M--78.47M
-Goodwill -27.09%23.62M-27.09%23.62M2.80%33.4M-3.17%32.25M57.06%32.21M86.28%32.39M86.28%32.39M--32.49M--33.3M--20.51M
-Other intangible assets -45.09%20.94M-45.09%20.94M-49.01%24.69M-50.94%25.94M-46.78%30.85M-38.50%38.13M-38.50%38.13M--48.41M--52.88M--57.97M
Financial assets 47.96%2.54M47.96%2.54M19.05%4.43M-98.03%4.73M-99.27%1.74M-99.28%1.72M-99.28%1.72M--3.72M--239.93M--237.68M
Other non current assets ----------------------------------10.63M--8.14M
Total non current assets -52.89%51.19M-52.89%51.19M-37.42%78.83M-74.55%96.86M-73.56%99.53M-72.08%108.67M-72.08%108.67M--125.97M--380.59M--376.41M
Total assets 0.83%913.06M0.83%913.06M-9.81%845.16M3.33%957.88M-22.15%841.59M-16.41%905.55M-16.41%905.55M--937.06M--926.97M--1.08B
Liabilities
Current liabilities
Payables -31.07%48.21M-31.07%48.21M-31.53%73.29M-41.43%66.36M-49.96%59.48M-22.67%69.93M-22.67%69.93M--107.05M--113.31M--118.86M
-accounts payable -27.68%48.13M-27.68%48.13M-33.72%68.56M-42.44%62.27M-49.86%55.72M-19.26%66.56M-19.26%66.56M--103.44M--108.18M--111.13M
-Due to related parties current ------------------------------460K--------
-Other payable -97.81%74K-97.81%74K50.21%4.74M-20.14%4.1M-51.35%3.76M-57.81%3.38M-57.81%3.38M--3.15M--5.13M--7.73M
Current debt and capital lease obligation 93.37%244.07M93.37%244.07M82.88%134.48M68.86%247.35M-47.03%126.16M-12.38%126.22M-12.38%126.22M--73.54M--146.48M--238.15M
-Current debt 93.37%244.07M93.37%244.07M82.88%134.48M68.86%247.35M-47.03%126.16M-12.38%126.22M-12.38%126.22M--73.54M--146.48M--238.15M
Current deferred liabilities 1,032.59%137.17M1,032.59%137.17M886.90%97.78M229.88%36.59M--11.83M-59.90%12.11M-59.90%12.11M--9.91M--11.09M----
Other current liabilities --6.12M--6.12M--------------------------------
Current liabilities 109.14%435.56M109.14%435.56M60.40%305.56M29.32%350.31M-44.69%197.47M-21.32%208.26M-21.32%208.26M--190.49M--270.88M--357.02M
Non current liabilities
Long term provisions -61.37%7.52M-61.37%7.52M-------------27.19%19.47M-27.19%19.47M------------
Long term debt and capital lease obligation -4.03%523.83M-4.03%523.83M-4.30%522.84M-39.90%543.6M-40.54%543.96M-42.66%545.85M-42.66%545.85M--546.31M--904.46M--914.84M
-Long term debt 0.99%519.75M0.99%519.75M0.98%518.01M-40.55%516.39M-40.95%514.76M-42.46%514.64M-42.46%514.64M--513M--868.58M--871.72M
-Long term capital lease obligation -86.92%4.08M-86.92%4.08M-85.52%4.82M-24.19%27.2M-32.28%29.2M-45.74%31.2M-45.74%31.2M--33.31M--35.88M--43.12M
Derivative product liabilities -57.10%1.41M-57.10%1.41M-56.01%1.41M-51.54%1.75M-76.51%2.07M-33.39%3.28M-33.39%3.28M--3.21M--3.62M--8.81M
Other non current liabilities -52.32%2.91M-52.32%2.91M-62.40%14.97M-60.63%17.32M-61.90%21.8M104.26%6.09M104.26%6.09M--39.82M--43.98M--57.22M
Total non current liabilities -6.79%535.67M-6.79%535.67M-8.50%539.22M-40.90%562.66M-42.11%567.82M-41.75%574.69M-41.75%574.69M--589.33M--952.06M--980.86M
Total liabilities 24.05%971.23M24.05%971.23M8.33%844.78M-25.35%912.98M-42.80%765.3M-37.43%782.95M-37.43%782.95M--779.82M--1.22B--1.34B
Shareholders'equity
Share capital 0.00%2K0.00%2K-97.30%2K-99.98%75K-99.98%75K-100.00%2K-100.00%2K--74K--436.29M--436.29M
-common stock 0.00%2K0.00%2K-97.30%2K650.00%75K650.00%75K-80.00%2K-80.00%2K--74K--10K--10K
-Preferred stock ------------------------------0--436.28M--436.28M
Retained earnings -12.11%-1.91B-12.11%-1.91B-11.73%-1.85B-36.46%-1.8B-38.09%-1.76B-45.94%-1.7B-45.94%-1.7B---1.66B---1.32B---1.27B
Paid-in capital 1.35%1.86B1.35%1.86B1.71%1.86B188.28%1.85B190.44%1.84B197.44%1.84B197.44%1.84B--1.83B--642.55M--635.17M
Gains losses not affecting retained earnings -12.95%-1.94M-12.95%-1.94M207.33%2.61M16.40%-1.45M-25.51%-2.03M-20.45%-1.71M-20.45%-1.71M---2.43M---1.73M---1.62M
Other equity interest 9.43%-9.16M9.43%-9.16M12.06%-9.15M83.77%-9.13M80.17%-10.98M81.00%-10.11M81.00%-10.11M---10.4M---56.25M---55.35M
Total stockholders'equity -147.45%-58.17M-147.45%-58.17M-99.75%388K115.17%44.91M129.71%76.29M173.02%122.6M173.02%122.6M--157.23M---295.97M---256.82M
Total equity -147.45%-58.17M-147.45%-58.17M-99.75%388K115.17%44.91M129.71%76.29M173.02%122.6M173.02%122.6M--157.23M---295.97M---256.82M
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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FOMC holds rates amid heightened uncertainty: Where will US stocks head next?
🎙️Discussion 1. With the Fed highlighting "elevated uncertainty", are you prioritizing rate projections or near-term economic data for ma Show More