US Stock MarketDetailed Quotes

HALL Hallmark Financial Services

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  • 0.000
  • 0.0000.00%
15min DelayClose Jun 4 09:30 ET
181.85Market Cap0.00P/E (TTM)

Hallmark Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-2,087.87%-104.26M
-121.02%-9.95M
23.94%-59M
-338.32%-76.56M
109.87%272K
-12.31%5.25M
-680.07%-4.5M
-363.17%-77.57M
146.34%32.12M
57.14%-2.76M
Net income from continuing operations
36.48%-16.66M
73.47%-17.79M
-236.10%-39.25M
-1,280.33%-134.93M
-407.26%-29.98M
-118.79%-26.23M
-7,823.76%-67.04M
-230.16%-11.68M
89.64%-9.78M
24.31%-5.91M
Operating gains losses
98.81%-6K
111.80%120K
517.81%610K
151.75%5.29M
241.00%6.96M
52.41%-504K
-165.61%-1.02M
97.47%-146K
-144.65%-10.22M
1.42%-4.93M
Deferred tax
33.89%798K
-101.71%-190K
-79.35%-608K
5,512.89%10.89M
-229.13%-461K
160.75%596K
4,337.20%11.09M
-159.68%-339K
102.98%194K
138.97%357K
Change in working capital
-419.54%-88.73M
-83.24%7.81M
69.27%-20.28M
-19.37%39.83M
676.96%31.47M
58.29%27.77M
1,444.41%46.6M
-366.24%-66M
215.67%49.4M
-30.00%4.05M
-Change in receivables
73.41%-5.05M
20,489.92%78.91M
332.08%6.53M
-284.79%-64.95M
-3.05%-42.78M
-287.49%-18.98M
-104.48%-387K
-147.93%-2.81M
90.07%-16.88M
-253.42%-41.51M
-Change in prepaid assets
5,680.31%55.78M
1,404.71%144.65M
-34.82%5.77M
-1,400.54%-207.88M
-4,938.71%-206.61M
-91.46%965K
-120.64%-11.09M
62.91%8.86M
-34.90%15.98M
-34.38%4.27M
-Change in loss and loss adjustment expense reserves
-707.24%-64.86M
-202.38%-51.06M
-145.14%-44.97M
138.50%64.19M
1,590.85%21.98M
130.59%10.68M
3,374.39%49.87M
-181.51%-18.34M
-84.11%26.91M
-96.16%1.3M
-Change in deferred acquisition costs
-20,847.83%-4.82M
-555.33%-6.96M
-7,922.22%-2.89M
-38.32%6.8M
44.80%5.33M
-100.82%-23K
-50.60%1.53M
-102.48%-36K
113.99%11.03M
-18.61%3.68M
-Change in payables and accrued expense
-206.79%-34.81M
-50.38%-32.35M
145.66%14.58M
-80.56%11.04M
-31.76%31.89M
1,286.01%32.6M
-19,281.98%-21.51M
-507.14%-31.93M
1,426.98%56.81M
626.06%46.73M
-Change in unearned premiums
-6,606.04%-48.82M
-680.55%-137.63M
106.95%1.33M
538.37%209.96M
1,472.24%206.1M
94.40%-728K
681.89%23.71M
-21.08%-19.12M
29.69%-47.9M
50.74%-15.02M
-Change in other current assets
-74.36%1.2M
-70.19%499K
122.86%1.01M
-53.22%1.77M
-106.56%-183K
80.59%4.68M
16.09%1.67M
-44.87%-4.4M
-24.55%3.79M
195.24%2.79M
-Change in other current liabilities
984.95%12.65M
318.72%11.75M
-191.60%-1.64M
5,547.84%18.9M
769.78%15.74M
55.96%-1.43M
389.53%2.81M
246.60%1.79M
92.21%-347K
-83.62%1.81M
Cash from discontinued operating activities
-342.65%-4.85M
149.70%5.88M
-99.33%104K
-859.14%-88.4M
-10,965.98%-91.07M
-1.1M
-11.82M
15.59M
11.65M
-823K
Operating cash flow
-2,729.18%-109.11M
75.06%-4.07M
4.98%-58.9M
-476.89%-164.96M
-2,436.34%-90.8M
-77.51%4.15M
-2,729.29%-16.33M
-310.28%-61.98M
163.13%43.77M
44.34%-3.58M
Investing cash flow
Cash flow from continuing investing activities
80.07%30.5M
201.39%54.82M
179.23%84.84M
-166.78%-136.62M
-75.24%7.58M
181.21%16.94M
-219.28%-54.07M
-171.63%-107.08M
66.77%204.6M
134.18%30.63M
Net investment purchase and sale
77.04%30.52M
204.49%55.23M
179.93%85.08M
-165.09%-134.43M
-75.30%7.63M
183.89%17.24M
-213.44%-52.85M
-171.17%-106.45M
66.07%206.51M
134.64%30.91M
Net PPE purchase and sale
92.41%-23K
66.14%-411K
62.28%-238K
-15.08%-2.2M
82.01%-50K
0.33%-303K
3.96%-1.21M
-885.94%-631K
-14.58%-1.91M
28.72%-278K
Cash from discontinued investing activities
Investing cash flow
80.07%30.5M
201.39%54.82M
179.23%84.84M
-150.39%-103.1M
34.20%41.11M
181.21%16.94M
-219.28%-54.07M
-171.63%-107.08M
66.77%204.6M
134.18%30.63M
Financing cash flow
Cash flow from continuing financing activities
Cash from discontinued financing activities
Net cash flow
Beginning cash position
41.02%165.31M
-38.94%114.57M
-75.15%88.62M
229.32%356.68M
-58.04%138.31M
-64.69%117.23M
-34.69%187.62M
229.32%356.68M
97.11%108.31M
61.30%329.63M
Current changes in cash
-472.80%-78.61M
172.09%50.74M
115.35%25.95M
-207.93%-268.06M
-283.70%-49.69M
976.43%21.09M
-257.30%-70.39M
-194.46%-169.06M
365.46%248.37M
128.16%27.05M
End cash position
-37.32%86.7M
41.02%165.31M
-38.94%114.57M
-75.15%88.62M
-75.15%88.62M
-58.04%138.31M
-64.69%117.23M
-34.69%187.62M
229.32%356.68M
229.32%356.68M
Free cash flow
-2,936.86%-109.13M
74.44%-4.48M
5.55%-59.13M
-499.72%-167.32M
-2,259.02%-91.01M
-78.80%3.85M
-852.69%-17.54M
-312.88%-62.61M
158.96%41.86M
43.45%-3.86M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -2,087.87%-104.26M-121.02%-9.95M23.94%-59M-338.32%-76.56M109.87%272K-12.31%5.25M-680.07%-4.5M-363.17%-77.57M146.34%32.12M57.14%-2.76M
Net income from continuing operations 36.48%-16.66M73.47%-17.79M-236.10%-39.25M-1,280.33%-134.93M-407.26%-29.98M-118.79%-26.23M-7,823.76%-67.04M-230.16%-11.68M89.64%-9.78M24.31%-5.91M
Operating gains losses 98.81%-6K111.80%120K517.81%610K151.75%5.29M241.00%6.96M52.41%-504K-165.61%-1.02M97.47%-146K-144.65%-10.22M1.42%-4.93M
Deferred tax 33.89%798K-101.71%-190K-79.35%-608K5,512.89%10.89M-229.13%-461K160.75%596K4,337.20%11.09M-159.68%-339K102.98%194K138.97%357K
Change in working capital -419.54%-88.73M-83.24%7.81M69.27%-20.28M-19.37%39.83M676.96%31.47M58.29%27.77M1,444.41%46.6M-366.24%-66M215.67%49.4M-30.00%4.05M
-Change in receivables 73.41%-5.05M20,489.92%78.91M332.08%6.53M-284.79%-64.95M-3.05%-42.78M-287.49%-18.98M-104.48%-387K-147.93%-2.81M90.07%-16.88M-253.42%-41.51M
-Change in prepaid assets 5,680.31%55.78M1,404.71%144.65M-34.82%5.77M-1,400.54%-207.88M-4,938.71%-206.61M-91.46%965K-120.64%-11.09M62.91%8.86M-34.90%15.98M-34.38%4.27M
-Change in loss and loss adjustment expense reserves -707.24%-64.86M-202.38%-51.06M-145.14%-44.97M138.50%64.19M1,590.85%21.98M130.59%10.68M3,374.39%49.87M-181.51%-18.34M-84.11%26.91M-96.16%1.3M
-Change in deferred acquisition costs -20,847.83%-4.82M-555.33%-6.96M-7,922.22%-2.89M-38.32%6.8M44.80%5.33M-100.82%-23K-50.60%1.53M-102.48%-36K113.99%11.03M-18.61%3.68M
-Change in payables and accrued expense -206.79%-34.81M-50.38%-32.35M145.66%14.58M-80.56%11.04M-31.76%31.89M1,286.01%32.6M-19,281.98%-21.51M-507.14%-31.93M1,426.98%56.81M626.06%46.73M
-Change in unearned premiums -6,606.04%-48.82M-680.55%-137.63M106.95%1.33M538.37%209.96M1,472.24%206.1M94.40%-728K681.89%23.71M-21.08%-19.12M29.69%-47.9M50.74%-15.02M
-Change in other current assets -74.36%1.2M-70.19%499K122.86%1.01M-53.22%1.77M-106.56%-183K80.59%4.68M16.09%1.67M-44.87%-4.4M-24.55%3.79M195.24%2.79M
-Change in other current liabilities 984.95%12.65M318.72%11.75M-191.60%-1.64M5,547.84%18.9M769.78%15.74M55.96%-1.43M389.53%2.81M246.60%1.79M92.21%-347K-83.62%1.81M
Cash from discontinued operating activities -342.65%-4.85M149.70%5.88M-99.33%104K-859.14%-88.4M-10,965.98%-91.07M-1.1M-11.82M15.59M11.65M-823K
Operating cash flow -2,729.18%-109.11M75.06%-4.07M4.98%-58.9M-476.89%-164.96M-2,436.34%-90.8M-77.51%4.15M-2,729.29%-16.33M-310.28%-61.98M163.13%43.77M44.34%-3.58M
Investing cash flow
Cash flow from continuing investing activities 80.07%30.5M201.39%54.82M179.23%84.84M-166.78%-136.62M-75.24%7.58M181.21%16.94M-219.28%-54.07M-171.63%-107.08M66.77%204.6M134.18%30.63M
Net investment purchase and sale 77.04%30.52M204.49%55.23M179.93%85.08M-165.09%-134.43M-75.30%7.63M183.89%17.24M-213.44%-52.85M-171.17%-106.45M66.07%206.51M134.64%30.91M
Net PPE purchase and sale 92.41%-23K66.14%-411K62.28%-238K-15.08%-2.2M82.01%-50K0.33%-303K3.96%-1.21M-885.94%-631K-14.58%-1.91M28.72%-278K
Cash from discontinued investing activities
Investing cash flow 80.07%30.5M201.39%54.82M179.23%84.84M-150.39%-103.1M34.20%41.11M181.21%16.94M-219.28%-54.07M-171.63%-107.08M66.77%204.6M134.18%30.63M
Financing cash flow
Cash flow from continuing financing activities
Cash from discontinued financing activities
Net cash flow
Beginning cash position 41.02%165.31M-38.94%114.57M-75.15%88.62M229.32%356.68M-58.04%138.31M-64.69%117.23M-34.69%187.62M229.32%356.68M97.11%108.31M61.30%329.63M
Current changes in cash -472.80%-78.61M172.09%50.74M115.35%25.95M-207.93%-268.06M-283.70%-49.69M976.43%21.09M-257.30%-70.39M-194.46%-169.06M365.46%248.37M128.16%27.05M
End cash position -37.32%86.7M41.02%165.31M-38.94%114.57M-75.15%88.62M-75.15%88.62M-58.04%138.31M-64.69%117.23M-34.69%187.62M229.32%356.68M229.32%356.68M
Free cash flow -2,936.86%-109.13M74.44%-4.48M5.55%-59.13M-499.72%-167.32M-2,259.02%-91.01M-78.80%3.85M-852.69%-17.54M-312.88%-62.61M158.96%41.86M43.45%-3.86M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

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