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HTBK Heritage Commerce

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  • 9.040
  • -0.040-0.44%
Close Apr 30 16:00 ET
  • 9.040
  • 0.0000.00%
Post 16:39 ET
556.96MMarket Cap13.29P/E (TTM)

Heritage Commerce 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-46.62%38.97M
445.32%15.82M
-68.51%5.31M
-65.87%10.51M
-75.51%7.34M
4.52%73.01M
-116.88%-4.58M
4.11%16.85M
215.81%30.79M
78.50%29.96M
Net income from continuing operations
-37.11%40.53M
-20.31%10.62M
-33.48%10.51M
-43.71%9.23M
-46.26%10.17M
-3.17%64.44M
-35.92%13.33M
-12.59%15.8M
10.67%16.4M
47.03%18.92M
Operating gains losses
1.87%-473K
---125K
54.59%-94K
61.81%-76K
-134.21%-178K
1.83%-482K
--0
32.79%-207K
-637.04%-199K
51.28%-76K
Depreciation and amortization
0.23%3.53M
0.22%891K
2.27%903K
0.80%882K
-2.40%853K
-6.26%3.52M
-4.41%889K
-6.16%883K
-7.21%875K
-7.22%874K
Other non cashItems
-46.50%-1.86M
41.63%-1.09M
-107.69%-148K
5.08%-579K
93.85%-44K
31.59%-1.27M
-128.48%-1.87M
3,003.23%1.92M
67.55%-610K
-192.03%-716K
Change in working capital
-160.75%-5.15M
123.33%3.91M
-456.41%-6.29M
-95.96%594K
-128.83%-3.36M
870.55%8.48M
-359.46%-16.77M
74.04%-1.13M
407.69%14.72M
638.66%11.66M
-Change in receivables
67.73%4.04M
-43.59%3.84M
27.59%-3.73M
-173.95%-934K
1,036.61%4.86M
146.52%2.41M
62.05%6.81M
0.68%-5.14M
124.77%1.26M
-107.36%-519K
-Change in payables and accrued expense
-251.57%-9.19M
100.29%69K
-163.99%-2.57M
-88.64%1.53M
-167.53%-8.22M
391.87%6.07M
-1,143.69%-23.58M
388.20%4.01M
4,157.59%13.45M
322.37%12.18M
Cash from discontinued operating activities
Operating cash flow
-46.62%38.97M
445.32%15.82M
-68.51%5.31M
-65.87%10.51M
-75.51%7.34M
4.52%73.01M
-116.88%-4.58M
4.11%16.85M
215.81%30.79M
78.50%29.96M
Investing cash flow
Cash flow from continuing investing activities
57.62%110.62M
-208.46%-86.75M
-48.96%25.76M
1,420.59%104.35M
20.65%67.26M
110.48%70.18M
72.40%-28.12M
118.50%50.46M
97.03%-7.9M
293.03%55.75M
Net investment purchase and sale
107.83%254.37M
-112.95%-4.74M
20.47%56.93M
680.37%148.51M
175.23%53.67M
126.49%122.39M
285.28%36.61M
133.98%47.25M
109.03%19.03M
121.09%19.5M
Net proceeds payment for loan
-173.74%-142.7M
-26.09%-81.9M
-1,106.25%-30.73M
-65.78%-44.1M
-61.44%14.02M
74.85%-52.13M
20.79%-64.95M
102.29%3.05M
52.08%-26.6M
-43.01%36.36M
Net PPE purchase and sale
2.81%-1.62M
75.74%-106K
44.95%-436K
-98.48%-653K
-279.65%-429K
-113.41%-1.67M
-203.47%-437K
-576.92%-792K
-10.40%-329K
49.55%-113K
Net other investing changes
-63.74%578K
-100.61%-4K
-100.32%-3K
11,880.00%589K
0.00%-4K
175.78%1.59M
5,153.85%657K
23,750.00%946K
-100.83%-5K
20.00%-4K
Cash from discontinued investing activities
Investing cash flow
57.62%110.62M
-208.46%-86.75M
-48.96%25.76M
1,420.59%104.35M
20.65%67.26M
110.48%70.18M
72.40%-28.12M
118.50%50.46M
97.03%-7.9M
293.03%55.75M
Financing cash flow
Cash flow from continuing financing activities
1,084.99%410.41M
140.42%82.74M
315.00%276.99M
96.83%-7.96M
-83.14%58.64M
89.58%-41.67M
31.85%-204.72M
8.08%66.74M
-197.87%-251.39M
551.83%347.7M
Increase decrease in deposit
4,061.72%441.57M
145.94%90.5M
281.50%284.92M
-100.09%-50K
20.51%66.2M
96.99%-11.15M
32.92%-197M
7.27%74.69M
173.74%56.23M
179.03%54.93M
Net issuance payments of debt
--0
----
----
----
--0
--0
----
----
----
--300M
Cash dividends paid
-0.37%-31.86M
-0.33%-7.97M
-0.34%-7.97M
-0.37%-7.97M
-0.45%-7.95M
-0.78%-31.74M
-0.56%-7.94M
-0.65%-7.94M
-1.04%-7.94M
-0.87%-7.92M
Proceeds from stock option exercised by employees
-43.44%690K
-4.93%212K
--35K
-81.53%58K
-43.63%385K
-40.49%1.22M
-81.10%223K
--0
-29.91%314K
70.32%683K
Cash from discontinued financing activities
Financing cash flow
1,084.99%410.41M
140.42%82.74M
315.00%276.99M
96.83%-7.96M
-83.14%58.64M
89.58%-41.67M
31.85%-204.72M
8.08%66.74M
-197.87%-251.39M
551.83%347.7M
Net cash flow
Beginning cash position
33.11%408.13M
48.14%956.31M
26.74%648.26M
-26.84%541.36M
33.11%408.13M
-76.53%306.6M
-5.31%645.55M
-41.65%511.5M
-39.20%740.01M
-76.53%306.6M
Current changes in cash
451.58%559.99M
104.98%11.81M
129.80%308.05M
146.78%106.9M
-69.26%133.23M
110.16%101.53M
36.71%-237.42M
168.80%134.05M
32.91%-228.51M
586.69%433.41M
End cash position
137.21%968.12M
137.21%968.12M
48.14%956.31M
26.74%648.26M
-26.84%541.36M
33.11%408.13M
33.11%408.13M
-5.31%645.55M
-41.65%511.5M
-39.20%740.01M
Free cash flow
-47.65%37.35M
413.13%15.71M
-69.67%4.87M
-67.64%9.86M
-76.85%6.91M
3.29%71.34M
-118.59%-5.02M
-0.06%16.05M
222.28%30.46M
80.23%29.85M
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
--
--
--
--
--
--
--
--
--
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -46.62%38.97M445.32%15.82M-68.51%5.31M-65.87%10.51M-75.51%7.34M4.52%73.01M-116.88%-4.58M4.11%16.85M215.81%30.79M78.50%29.96M
Net income from continuing operations -37.11%40.53M-20.31%10.62M-33.48%10.51M-43.71%9.23M-46.26%10.17M-3.17%64.44M-35.92%13.33M-12.59%15.8M10.67%16.4M47.03%18.92M
Operating gains losses 1.87%-473K---125K54.59%-94K61.81%-76K-134.21%-178K1.83%-482K--032.79%-207K-637.04%-199K51.28%-76K
Depreciation and amortization 0.23%3.53M0.22%891K2.27%903K0.80%882K-2.40%853K-6.26%3.52M-4.41%889K-6.16%883K-7.21%875K-7.22%874K
Other non cashItems -46.50%-1.86M41.63%-1.09M-107.69%-148K5.08%-579K93.85%-44K31.59%-1.27M-128.48%-1.87M3,003.23%1.92M67.55%-610K-192.03%-716K
Change in working capital -160.75%-5.15M123.33%3.91M-456.41%-6.29M-95.96%594K-128.83%-3.36M870.55%8.48M-359.46%-16.77M74.04%-1.13M407.69%14.72M638.66%11.66M
-Change in receivables 67.73%4.04M-43.59%3.84M27.59%-3.73M-173.95%-934K1,036.61%4.86M146.52%2.41M62.05%6.81M0.68%-5.14M124.77%1.26M-107.36%-519K
-Change in payables and accrued expense -251.57%-9.19M100.29%69K-163.99%-2.57M-88.64%1.53M-167.53%-8.22M391.87%6.07M-1,143.69%-23.58M388.20%4.01M4,157.59%13.45M322.37%12.18M
Cash from discontinued operating activities
Operating cash flow -46.62%38.97M445.32%15.82M-68.51%5.31M-65.87%10.51M-75.51%7.34M4.52%73.01M-116.88%-4.58M4.11%16.85M215.81%30.79M78.50%29.96M
Investing cash flow
Cash flow from continuing investing activities 57.62%110.62M-208.46%-86.75M-48.96%25.76M1,420.59%104.35M20.65%67.26M110.48%70.18M72.40%-28.12M118.50%50.46M97.03%-7.9M293.03%55.75M
Net investment purchase and sale 107.83%254.37M-112.95%-4.74M20.47%56.93M680.37%148.51M175.23%53.67M126.49%122.39M285.28%36.61M133.98%47.25M109.03%19.03M121.09%19.5M
Net proceeds payment for loan -173.74%-142.7M-26.09%-81.9M-1,106.25%-30.73M-65.78%-44.1M-61.44%14.02M74.85%-52.13M20.79%-64.95M102.29%3.05M52.08%-26.6M-43.01%36.36M
Net PPE purchase and sale 2.81%-1.62M75.74%-106K44.95%-436K-98.48%-653K-279.65%-429K-113.41%-1.67M-203.47%-437K-576.92%-792K-10.40%-329K49.55%-113K
Net other investing changes -63.74%578K-100.61%-4K-100.32%-3K11,880.00%589K0.00%-4K175.78%1.59M5,153.85%657K23,750.00%946K-100.83%-5K20.00%-4K
Cash from discontinued investing activities
Investing cash flow 57.62%110.62M-208.46%-86.75M-48.96%25.76M1,420.59%104.35M20.65%67.26M110.48%70.18M72.40%-28.12M118.50%50.46M97.03%-7.9M293.03%55.75M
Financing cash flow
Cash flow from continuing financing activities 1,084.99%410.41M140.42%82.74M315.00%276.99M96.83%-7.96M-83.14%58.64M89.58%-41.67M31.85%-204.72M8.08%66.74M-197.87%-251.39M551.83%347.7M
Increase decrease in deposit 4,061.72%441.57M145.94%90.5M281.50%284.92M-100.09%-50K20.51%66.2M96.99%-11.15M32.92%-197M7.27%74.69M173.74%56.23M179.03%54.93M
Net issuance payments of debt --0--------------0--0--------------300M
Cash dividends paid -0.37%-31.86M-0.33%-7.97M-0.34%-7.97M-0.37%-7.97M-0.45%-7.95M-0.78%-31.74M-0.56%-7.94M-0.65%-7.94M-1.04%-7.94M-0.87%-7.92M
Proceeds from stock option exercised by employees -43.44%690K-4.93%212K--35K-81.53%58K-43.63%385K-40.49%1.22M-81.10%223K--0-29.91%314K70.32%683K
Cash from discontinued financing activities
Financing cash flow 1,084.99%410.41M140.42%82.74M315.00%276.99M96.83%-7.96M-83.14%58.64M89.58%-41.67M31.85%-204.72M8.08%66.74M-197.87%-251.39M551.83%347.7M
Net cash flow
Beginning cash position 33.11%408.13M48.14%956.31M26.74%648.26M-26.84%541.36M33.11%408.13M-76.53%306.6M-5.31%645.55M-41.65%511.5M-39.20%740.01M-76.53%306.6M
Current changes in cash 451.58%559.99M104.98%11.81M129.80%308.05M146.78%106.9M-69.26%133.23M110.16%101.53M36.71%-237.42M168.80%134.05M32.91%-228.51M586.69%433.41M
End cash position 137.21%968.12M137.21%968.12M48.14%956.31M26.74%648.26M-26.84%541.36M33.11%408.13M33.11%408.13M-5.31%645.55M-41.65%511.5M-39.20%740.01M
Free cash flow -47.65%37.35M413.13%15.71M-69.67%4.87M-67.64%9.86M-76.85%6.91M3.29%71.34M-118.59%-5.02M-0.06%16.05M222.28%30.46M80.23%29.85M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

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