US Stock MarketDetailed Quotes

BETR Better Home & Finance

Watchlist
  • 0.381
  • -0.009-2.28%
Close May 22 16:00 ET
  • 0.375
  • -0.006-1.55%
Post 19:45 ET
287.88MMarket Cap-533P/E (TTM)

Better Home & Finance Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
114.15%482.62M
66.43%529.19M
66.43%529.19M
--556.6M
--142.81M
--225.36M
-66.11%317.96M
--317.96M
--938.32M
-Cash and cash equivalents
88.38%424.53M
58.38%503.59M
58.38%503.59M
--526.77M
--109.92M
--225.36M
-66.11%317.96M
--317.96M
--938.32M
-Short-term investments
--58.09M
--25.6M
--25.6M
--29.83M
--32.88M
----
--0
--0
----
Receivables
-51.65%194.07M
-35.00%195.39M
-35.00%195.39M
--184.35M
--337.46M
--401.39M
-85.50%300.61M
--300.61M
--2.07B
-Loans receivable
-53.01%174.11M
-35.78%170.15M
-35.78%170.15M
--164.19M
--312.08M
--370.54M
-86.67%264.95M
--264.95M
--1.99B
-Taxes receivable
-19.30%8.47M
-53.98%8.35M
-53.98%8.35M
--9.72M
--10.14M
--10.5M
-10.42%18.14M
--18.14M
--20.25M
-Other receivables
-43.54%11.49M
-3.64%16.89M
-3.64%16.89M
--10.45M
--15.24M
--20.34M
-73.13%17.53M
--17.53M
--65.22M
Inventory
----
--0
--0
--0
--0
--0
1.52%1.14M
--1.14M
--1.12M
Prepaid assets
-25.28%39.29M
-7.15%43.04M
-7.15%43.04M
--42.33M
--41.11M
--52.58M
44.14%46.35M
--46.35M
--32.16M
Restricted cash
2.96%26.08M
-12.92%24.48M
-12.92%24.48M
--27.81M
--25.01M
--25.33M
-30.70%28.11M
--28.11M
--40.56M
Total current assets
5.31%742.05M
14.11%792.09M
14.11%792.09M
--811.08M
--546.38M
--704.65M
-77.51%694.16M
--694.16M
--3.09B
Non current assets
Net PPE
-33.35%34.74M
-48.05%36.44M
-48.05%36.44M
--41.36M
--43.84M
--52.12M
-28.36%70.15M
--70.15M
--97.93M
-Gross PPE
-33.35%34.74M
-39.55%54.34M
-39.55%54.34M
--41.36M
--43.84M
--52.12M
-17.53%89.89M
--89.89M
--109.01M
-Accumulated depreciation
----
9.35%-17.9M
9.35%-17.9M
----
----
----
-78.23%-19.74M
---19.74M
---11.08M
Goodwill and other intangible assets
-19.64%63.06M
-11.17%70.52M
-11.17%70.52M
--80.9M
--86.18M
--78.47M
-13.99%79.38M
--79.38M
--92.3M
-Goodwill
57.06%32.21M
86.28%32.39M
86.28%32.39M
--32.49M
--33.3M
--20.51M
-12.23%17.39M
--17.39M
--19.81M
-Other intangible assets
-46.78%30.85M
-38.50%38.13M
-38.50%38.13M
--48.41M
--52.88M
--57.97M
-14.48%62M
--62M
--72.49M
Financial assets
-99.27%1.74M
-99.28%1.72M
-99.28%1.72M
--3.72M
--239.93M
--237.68M
2,478.00%239.65M
--239.65M
--9.3M
Other non current assets
----
--4.79M
--4.79M
----
--10.63M
--8.14M
----
----
--14.26M
Total non current assets
-73.56%99.53M
-70.85%113.47M
-70.85%113.47M
--125.97M
--380.59M
--376.41M
82.04%389.19M
--389.19M
--213.79M
Total assets
-22.15%841.59M
-16.41%905.55M
-16.41%905.55M
--937.06M
--926.97M
--1.08B
-67.17%1.08B
--1.08B
--3.3B
Liabilities
Current liabilities
Payables
-49.96%59.48M
-22.67%69.93M
-22.67%69.93M
--107.05M
--113.31M
--118.86M
-37.55%90.44M
--90.44M
--144.81M
-accounts payable
-49.86%55.72M
-19.26%66.56M
-19.26%66.56M
--103.44M
--108.18M
--111.13M
-38.14%82.44M
--82.44M
--133.26M
-Due to related parties current
----
----
----
--460K
----
----
----
----
----
-Other payable
-51.35%3.76M
-57.81%3.38M
-57.81%3.38M
--3.15M
--5.13M
--7.73M
-30.76%8M
--8M
--11.56M
Current debt and capital lease obligation
-47.03%126.16M
-12.38%126.22M
-12.38%126.22M
--73.54M
--146.48M
--238.15M
-91.36%144.05M
--144.05M
--1.67B
-Current debt
-47.03%126.16M
-12.38%126.22M
-12.38%126.22M
--73.54M
--146.48M
--238.15M
-91.36%144.05M
--144.05M
--1.67B
Current deferred liabilities
--11.83M
-59.90%12.11M
-59.90%12.11M
--9.91M
--11.09M
----
-39.60%30.21M
--30.21M
--50.01M
Current liabilities
-44.69%197.47M
-21.32%208.26M
-21.32%208.26M
--190.49M
--270.88M
--357.02M
-85.79%264.69M
--264.69M
--1.86B
Non current liabilities
Long term provisions
----
-27.19%19.47M
-27.19%19.47M
----
----
----
52.48%26.75M
--26.75M
--17.54M
Long term debt and capital lease obligation
-40.54%543.96M
-42.66%545.85M
-42.66%545.85M
--546.31M
--904.46M
--914.84M
35.98%951.91M
--951.91M
--700.01M
-Long term debt
-40.95%514.76M
-42.46%514.64M
-42.46%514.64M
--513M
--868.58M
--871.72M
42.79%894.4M
--894.4M
--626.36M
-Long term capital lease obligation
-32.28%29.2M
-45.74%31.2M
-45.74%31.2M
--33.31M
--35.88M
--43.12M
-21.92%57.51M
--57.51M
--73.66M
Derivative product liabilities
-76.51%2.07M
-33.39%3.28M
-33.39%3.28M
--3.21M
--3.62M
--8.81M
-85.68%4.92M
--4.92M
--34.38M
Other non current liabilities
-61.90%21.8M
104.26%6.09M
104.26%6.09M
--39.82M
--43.98M
--57.22M
-65.35%2.98M
--2.98M
--8.61M
Total non current liabilities
-42.11%567.82M
-41.75%574.69M
-41.75%574.69M
--589.33M
--952.06M
--980.86M
29.72%986.56M
--986.56M
--760.54M
Total liabilities
-42.80%765.3M
-37.43%782.95M
-37.43%782.95M
--779.82M
--1.22B
--1.34B
-52.30%1.25B
--1.25B
--2.62B
Shareholders'equity
Share capital
-99.98%75K
-99.98%74K
-99.98%74K
--74K
--436.29M
--436.29M
0.00%436.29M
--436.29M
--436.29M
-common stock
650.00%75K
640.00%74K
640.00%74K
--74K
--10K
--10K
0.00%10K
--10K
--10K
-Preferred stock
----
--0
--0
--0
--436.28M
--436.28M
0.00%436.28M
--436.28M
--436.28M
Retained earnings
-38.09%-1.76B
-45.94%-1.7B
-45.94%-1.7B
---1.66B
---1.32B
---1.27B
-299.04%-1.17B
---1.17B
---292.61M
Paid-in capital
190.44%1.84B
197.43%1.84B
197.43%1.84B
--1.83B
--642.55M
--635.17M
8.16%618.11M
--618.11M
--571.5M
Gains losses not affecting retained earnings
-25.51%-2.03M
-20.45%-1.71M
-20.45%-1.71M
---2.43M
---1.73M
---1.62M
-1,255.24%-1.42M
---1.42M
---105K
Other equity interest
80.17%-10.98M
81.00%-10.11M
81.00%-10.11M
---10.4M
---56.25M
---55.35M
-37.77%-53.23M
---53.23M
---38.63M
Total stockholders'equity
129.71%76.29M
173.02%122.6M
173.02%122.6M
--157.23M
---295.97M
---256.82M
-124.82%-167.9M
---167.9M
--676.44M
Total equity
129.71%76.29M
173.02%122.6M
173.02%122.6M
--157.23M
---295.97M
---256.82M
-124.82%-167.9M
---167.9M
--676.44M
Currency Unit
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
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
(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(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 114.15%482.62M66.43%529.19M66.43%529.19M--556.6M--142.81M--225.36M-66.11%317.96M--317.96M--938.32M
-Cash and cash equivalents 88.38%424.53M58.38%503.59M58.38%503.59M--526.77M--109.92M--225.36M-66.11%317.96M--317.96M--938.32M
-Short-term investments --58.09M--25.6M--25.6M--29.83M--32.88M------0--0----
Receivables -51.65%194.07M-35.00%195.39M-35.00%195.39M--184.35M--337.46M--401.39M-85.50%300.61M--300.61M--2.07B
-Loans receivable -53.01%174.11M-35.78%170.15M-35.78%170.15M--164.19M--312.08M--370.54M-86.67%264.95M--264.95M--1.99B
-Taxes receivable -19.30%8.47M-53.98%8.35M-53.98%8.35M--9.72M--10.14M--10.5M-10.42%18.14M--18.14M--20.25M
-Other receivables -43.54%11.49M-3.64%16.89M-3.64%16.89M--10.45M--15.24M--20.34M-73.13%17.53M--17.53M--65.22M
Inventory ------0--0--0--0--01.52%1.14M--1.14M--1.12M
Prepaid assets -25.28%39.29M-7.15%43.04M-7.15%43.04M--42.33M--41.11M--52.58M44.14%46.35M--46.35M--32.16M
Restricted cash 2.96%26.08M-12.92%24.48M-12.92%24.48M--27.81M--25.01M--25.33M-30.70%28.11M--28.11M--40.56M
Total current assets 5.31%742.05M14.11%792.09M14.11%792.09M--811.08M--546.38M--704.65M-77.51%694.16M--694.16M--3.09B
Non current assets
Net PPE -33.35%34.74M-48.05%36.44M-48.05%36.44M--41.36M--43.84M--52.12M-28.36%70.15M--70.15M--97.93M
-Gross PPE -33.35%34.74M-39.55%54.34M-39.55%54.34M--41.36M--43.84M--52.12M-17.53%89.89M--89.89M--109.01M
-Accumulated depreciation ----9.35%-17.9M9.35%-17.9M-------------78.23%-19.74M---19.74M---11.08M
Goodwill and other intangible assets -19.64%63.06M-11.17%70.52M-11.17%70.52M--80.9M--86.18M--78.47M-13.99%79.38M--79.38M--92.3M
-Goodwill 57.06%32.21M86.28%32.39M86.28%32.39M--32.49M--33.3M--20.51M-12.23%17.39M--17.39M--19.81M
-Other intangible assets -46.78%30.85M-38.50%38.13M-38.50%38.13M--48.41M--52.88M--57.97M-14.48%62M--62M--72.49M
Financial assets -99.27%1.74M-99.28%1.72M-99.28%1.72M--3.72M--239.93M--237.68M2,478.00%239.65M--239.65M--9.3M
Other non current assets ------4.79M--4.79M------10.63M--8.14M----------14.26M
Total non current assets -73.56%99.53M-70.85%113.47M-70.85%113.47M--125.97M--380.59M--376.41M82.04%389.19M--389.19M--213.79M
Total assets -22.15%841.59M-16.41%905.55M-16.41%905.55M--937.06M--926.97M--1.08B-67.17%1.08B--1.08B--3.3B
Liabilities
Current liabilities
Payables -49.96%59.48M-22.67%69.93M-22.67%69.93M--107.05M--113.31M--118.86M-37.55%90.44M--90.44M--144.81M
-accounts payable -49.86%55.72M-19.26%66.56M-19.26%66.56M--103.44M--108.18M--111.13M-38.14%82.44M--82.44M--133.26M
-Due to related parties current --------------460K--------------------
-Other payable -51.35%3.76M-57.81%3.38M-57.81%3.38M--3.15M--5.13M--7.73M-30.76%8M--8M--11.56M
Current debt and capital lease obligation -47.03%126.16M-12.38%126.22M-12.38%126.22M--73.54M--146.48M--238.15M-91.36%144.05M--144.05M--1.67B
-Current debt -47.03%126.16M-12.38%126.22M-12.38%126.22M--73.54M--146.48M--238.15M-91.36%144.05M--144.05M--1.67B
Current deferred liabilities --11.83M-59.90%12.11M-59.90%12.11M--9.91M--11.09M-----39.60%30.21M--30.21M--50.01M
Current liabilities -44.69%197.47M-21.32%208.26M-21.32%208.26M--190.49M--270.88M--357.02M-85.79%264.69M--264.69M--1.86B
Non current liabilities
Long term provisions -----27.19%19.47M-27.19%19.47M------------52.48%26.75M--26.75M--17.54M
Long term debt and capital lease obligation -40.54%543.96M-42.66%545.85M-42.66%545.85M--546.31M--904.46M--914.84M35.98%951.91M--951.91M--700.01M
-Long term debt -40.95%514.76M-42.46%514.64M-42.46%514.64M--513M--868.58M--871.72M42.79%894.4M--894.4M--626.36M
-Long term capital lease obligation -32.28%29.2M-45.74%31.2M-45.74%31.2M--33.31M--35.88M--43.12M-21.92%57.51M--57.51M--73.66M
Derivative product liabilities -76.51%2.07M-33.39%3.28M-33.39%3.28M--3.21M--3.62M--8.81M-85.68%4.92M--4.92M--34.38M
Other non current liabilities -61.90%21.8M104.26%6.09M104.26%6.09M--39.82M--43.98M--57.22M-65.35%2.98M--2.98M--8.61M
Total non current liabilities -42.11%567.82M-41.75%574.69M-41.75%574.69M--589.33M--952.06M--980.86M29.72%986.56M--986.56M--760.54M
Total liabilities -42.80%765.3M-37.43%782.95M-37.43%782.95M--779.82M--1.22B--1.34B-52.30%1.25B--1.25B--2.62B
Shareholders'equity
Share capital -99.98%75K-99.98%74K-99.98%74K--74K--436.29M--436.29M0.00%436.29M--436.29M--436.29M
-common stock 650.00%75K640.00%74K640.00%74K--74K--10K--10K0.00%10K--10K--10K
-Preferred stock ------0--0--0--436.28M--436.28M0.00%436.28M--436.28M--436.28M
Retained earnings -38.09%-1.76B-45.94%-1.7B-45.94%-1.7B---1.66B---1.32B---1.27B-299.04%-1.17B---1.17B---292.61M
Paid-in capital 190.44%1.84B197.43%1.84B197.43%1.84B--1.83B--642.55M--635.17M8.16%618.11M--618.11M--571.5M
Gains losses not affecting retained earnings -25.51%-2.03M-20.45%-1.71M-20.45%-1.71M---2.43M---1.73M---1.62M-1,255.24%-1.42M---1.42M---105K
Other equity interest 80.17%-10.98M81.00%-10.11M81.00%-10.11M---10.4M---56.25M---55.35M-37.77%-53.23M---53.23M---38.63M
Total stockholders'equity 129.71%76.29M173.02%122.6M173.02%122.6M--157.23M---295.97M---256.82M-124.82%-167.9M---167.9M--676.44M
Total equity 129.71%76.29M173.02%122.6M173.02%122.6M--157.23M---295.97M---256.82M-124.82%-167.9M---167.9M--676.44M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg