US Stock MarketDetailed Quotes

UWMC UWM Holdings

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  • 7.170
  • +0.220+3.17%
Trading May 14 10:00 ET
685.29MMarket Cap89.63P/E (TTM)

UWM Holdings 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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold
0.19%1.18B
28.94%1.35B
28.94%1.35B
68.49%1.35B
8.87%1.04B
31.03%1.18B
-18.86%1.05B
-18.86%1.05B
-15.95%799.53M
-8.56%958.66M
-Cash and cash equivalents
-18.16%605.64M
-29.43%497.47M
-29.43%497.47M
-8.74%729.62M
-33.81%634.58M
-17.88%740.06M
-3.58%704.9M
-3.58%704.9M
-15.95%799.53M
-8.56%958.66M
-Money market investments
31.02%577.49M
148.01%856.86M
148.01%856.86M
--617.49M
--409.08M
--440.78M
-38.68%345.49M
-38.68%345.49M
----
----
Receivables
23.15%581.33M
27.23%541.18M
27.23%541.18M
-30.59%417.73M
-4.36%382.81M
-29.70%472.07M
-10.02%425.37M
-10.02%425.37M
50.40%601.82M
5.66%400.27M
-Accounts receivable
27.83%554.44M
33.65%512.07M
33.65%512.07M
-30.61%385.92M
-0.64%347.87M
-29.77%433.75M
-7.83%383.15M
-7.83%383.15M
63.56%556.15M
10.28%350.09M
-Other receivables
-29.83%26.89M
-31.05%29.11M
-31.05%29.11M
-30.36%31.8M
-30.36%34.95M
-28.85%38.32M
-25.96%42.22M
-25.96%42.22M
-24.03%45.67M
-18.22%50.18M
Net loan
52.87%7.34B
-23.62%5.45B
-23.62%5.45B
4.10%5.56B
17.58%6.27B
-7.83%4.8B
-57.81%7.13B
-57.81%7.13B
-54.49%5.34B
-57.01%5.33B
-Gross loan
52.87%7.34B
-23.62%5.45B
-23.62%5.45B
4.10%5.56B
17.58%6.27B
-7.83%4.8B
-57.81%7.13B
-57.81%7.13B
-54.49%5.34B
-57.01%5.33B
Securities and investments
-5.21%108.32M
-2.59%110.35M
-2.59%110.35M
-9.17%104.53M
-10.84%111.63M
-17.44%114.28M
-25.60%113.29M
-25.60%113.29M
175.25%115.08M
--125.19M
-Available for sale securities
-5.21%108.32M
-2.59%110.35M
-2.59%110.35M
-9.17%104.53M
-10.84%111.63M
-17.44%114.28M
-25.60%113.29M
-25.60%113.29M
175.25%115.08M
--125.19M
Derivative assets
-44.30%34.05M
-60.16%33.02M
-60.16%33.02M
-75.92%92.79M
-50.91%61.41M
-74.73%61.14M
23.03%82.87M
23.03%82.87M
167.96%385.35M
65.80%125.08M
Net PPE
-4.81%243.07M
-4.33%245.54M
-4.33%245.54M
-2.61%246.94M
-2.07%251.2M
0.19%255.35M
0.06%256.66M
0.06%256.66M
0.74%253.55M
17.67%256.5M
-Gross PPE
-4.81%243.07M
6.63%352.43M
6.63%352.43M
-2.61%246.94M
-2.07%251.2M
0.19%255.35M
9.13%330.53M
9.13%330.53M
0.74%253.55M
17.67%256.5M
-Accumulated depreciation
----
-44.70%-106.89M
-44.70%-106.89M
----
----
----
-59.36%-73.87M
-59.36%-73.87M
----
----
Goodwill and other intangible assets
-19.70%3.19B
-9.59%4.03B
-9.59%4.03B
1.08%4.35B
13.06%4.22B
13.11%3.97B
34.34%4.45B
34.34%4.45B
48.46%4.31B
40.33%3.74B
-Other intangible assets
-19.70%3.19B
-9.59%4.03B
-9.59%4.03B
1.08%4.35B
13.06%4.22B
13.11%3.97B
34.34%4.45B
34.34%4.45B
48.46%4.31B
40.33%3.74B
Other assets
32.14%117.5M
32.90%111.42M
32.90%111.42M
-5.75%82.8M
-1.67%81.09M
682.75%88.92M
39.39%83.84M
39.39%83.84M
876.11%87.85M
760.64%82.47M
Total assets
16.90%12.8B
-12.71%11.87B
-12.71%11.87B
2.64%12.2B
12.79%12.43B
-0.39%10.95B
-39.63%13.6B
-39.63%13.6B
-27.86%11.89B
-34.59%11.02B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase
1,546.96%7.26B
-15.18%5.76B
-15.18%5.76B
--5.68B
--6.14B
--440.78M
-58.90%6.79B
-58.90%6.79B
----
----
Payables
-27.86%415.75M
3.31%417.2M
3.31%417.2M
-49.60%663.46M
-37.96%582.93M
-57.83%576.34M
-24.26%403.83M
-24.26%403.83M
6.21%1.32B
-20.30%939.63M
-Accounts payable
-47.69%218.02M
20.99%167.85M
20.99%167.85M
-56.45%503.89M
-45.73%423.41M
-65.47%416.82M
-73.52%138.73M
-73.52%138.73M
-5.89%1.16B
-23.40%780.17M
-Dividends payable
0.12%159.7M
0.07%159.57M
0.07%159.57M
0.07%159.57M
0.04%159.52M
0.04%159.52M
1,638.80%159.47M
1,638.80%159.47M
1,480.90%159.47M
-0.61%159.46M
-Other payable
--38.02M
-15.01%89.78M
-15.01%89.78M
----
----
----
--105.63M
--105.63M
----
----
Current accrued expenses
--96.99M
19.14%94.94M
19.14%94.94M
----
----
----
--79.69M
--79.69M
----
----
Current debt and capital lease obligation
-95.80%200M
0.00%750M
0.00%750M
-89.39%500M
-88.88%500M
16.75%4.76B
--750M
--750M
-55.07%4.71B
-60.02%4.5B
-Current debt
-95.80%200M
0.00%750M
0.00%750M
-89.39%500M
-88.88%500M
16.75%4.76B
--750M
--750M
-55.07%4.71B
-60.02%4.5B
Long term provisions
--68.22M
3.92%62.87M
3.92%62.87M
----
----
----
--60.5M
--60.5M
----
----
Long term debt and capital lease obligation
-0.76%2.22B
-0.97%2.22B
-0.97%2.22B
-1.25%2.23B
-1.32%2.23B
-1.43%2.23B
-1.26%2.24B
-1.26%2.24B
32.72%2.25B
37.40%2.26B
-Long term debt
-0.16%2.08B
-0.17%2.08B
-0.17%2.08B
-0.64%2.08B
-0.65%2.09B
-0.63%2.09B
-0.63%2.09B
-0.63%2.09B
38.09%2.1B
41.36%2.1B
-Long term capital lease obligation
-9.30%133.17M
-11.71%136.7M
-11.71%136.7M
-9.54%140.68M
-10.00%145.07M
-11.53%146.82M
-9.03%154.84M
-9.03%154.84M
-12.98%155.51M
0.61%161.18M
Non current deferred liabilities
--49.36M
-14.18%45.83M
-14.18%45.83M
----
----
----
--53.4M
--53.4M
----
----
Derivative product liabilities
-45.71%34.07M
-5.64%48.61M
-5.64%48.61M
-81.94%38.88M
-76.87%21.73M
-45.64%62.74M
40.23%51.52M
40.23%51.52M
250.51%215.33M
13.82%93.96M
Total liabilities
28.08%10.34B
-9.89%9.4B
-9.89%9.4B
7.22%9.11B
21.63%9.48B
3.18%8.07B
-46.12%10.43B
-46.12%10.43B
-36.99%8.5B
-44.95%7.79B
Shareholders'equity
Share capital
0.00%159K
0.63%160K
0.63%160K
0.63%160K
0.00%159K
0.00%159K
0.00%159K
0.00%159K
-0.63%159K
-0.63%159K
-common stock
0.00%159K
0.63%160K
0.63%160K
0.63%160K
0.00%159K
0.00%159K
0.00%159K
0.00%159K
-0.63%159K
-0.63%159K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Paid-in capital
101.25%2.09M
88.48%1.7M
88.48%1.7M
89.29%1.48M
89.39%1.27M
91.14%1.04M
106.64%903K
106.64%903K
150.48%784K
257.75%669K
Retained earnings
-8.32%111.98M
-22.32%110.69M
-22.32%110.69M
-7.76%130.23M
-12.74%120.38M
-12.03%122.14M
0.49%142.5M
0.49%142.5M
8.77%141.19M
26.10%137.96M
Total stockholders'equity
-7.38%114.22M
-21.60%112.55M
-21.60%112.55M
-7.22%131.88M
-12.23%121.81M
-11.61%123.33M
0.82%143.56M
0.82%143.56M
9.09%142.14M
26.46%138.78M
Non controlling interests
-14.84%2.34B
-21.99%2.36B
-21.99%2.36B
-8.91%2.96B
-8.42%2.83B
-9.10%2.75B
-0.02%3.03B
-0.02%3.03B
13.48%3.25B
19.71%3.09B
Total equity
-14.52%2.46B
-21.98%2.47B
-21.98%2.47B
-8.84%3.09B
-8.59%2.95B
-9.21%2.87B
0.02%3.17B
0.02%3.17B
13.29%3.39B
19.98%3.22B
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
--
--
--
(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(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold 0.19%1.18B28.94%1.35B28.94%1.35B68.49%1.35B8.87%1.04B31.03%1.18B-18.86%1.05B-18.86%1.05B-15.95%799.53M-8.56%958.66M
-Cash and cash equivalents -18.16%605.64M-29.43%497.47M-29.43%497.47M-8.74%729.62M-33.81%634.58M-17.88%740.06M-3.58%704.9M-3.58%704.9M-15.95%799.53M-8.56%958.66M
-Money market investments 31.02%577.49M148.01%856.86M148.01%856.86M--617.49M--409.08M--440.78M-38.68%345.49M-38.68%345.49M--------
Receivables 23.15%581.33M27.23%541.18M27.23%541.18M-30.59%417.73M-4.36%382.81M-29.70%472.07M-10.02%425.37M-10.02%425.37M50.40%601.82M5.66%400.27M
-Accounts receivable 27.83%554.44M33.65%512.07M33.65%512.07M-30.61%385.92M-0.64%347.87M-29.77%433.75M-7.83%383.15M-7.83%383.15M63.56%556.15M10.28%350.09M
-Other receivables -29.83%26.89M-31.05%29.11M-31.05%29.11M-30.36%31.8M-30.36%34.95M-28.85%38.32M-25.96%42.22M-25.96%42.22M-24.03%45.67M-18.22%50.18M
Net loan 52.87%7.34B-23.62%5.45B-23.62%5.45B4.10%5.56B17.58%6.27B-7.83%4.8B-57.81%7.13B-57.81%7.13B-54.49%5.34B-57.01%5.33B
-Gross loan 52.87%7.34B-23.62%5.45B-23.62%5.45B4.10%5.56B17.58%6.27B-7.83%4.8B-57.81%7.13B-57.81%7.13B-54.49%5.34B-57.01%5.33B
Securities and investments -5.21%108.32M-2.59%110.35M-2.59%110.35M-9.17%104.53M-10.84%111.63M-17.44%114.28M-25.60%113.29M-25.60%113.29M175.25%115.08M--125.19M
-Available for sale securities -5.21%108.32M-2.59%110.35M-2.59%110.35M-9.17%104.53M-10.84%111.63M-17.44%114.28M-25.60%113.29M-25.60%113.29M175.25%115.08M--125.19M
Derivative assets -44.30%34.05M-60.16%33.02M-60.16%33.02M-75.92%92.79M-50.91%61.41M-74.73%61.14M23.03%82.87M23.03%82.87M167.96%385.35M65.80%125.08M
Net PPE -4.81%243.07M-4.33%245.54M-4.33%245.54M-2.61%246.94M-2.07%251.2M0.19%255.35M0.06%256.66M0.06%256.66M0.74%253.55M17.67%256.5M
-Gross PPE -4.81%243.07M6.63%352.43M6.63%352.43M-2.61%246.94M-2.07%251.2M0.19%255.35M9.13%330.53M9.13%330.53M0.74%253.55M17.67%256.5M
-Accumulated depreciation -----44.70%-106.89M-44.70%-106.89M-------------59.36%-73.87M-59.36%-73.87M--------
Goodwill and other intangible assets -19.70%3.19B-9.59%4.03B-9.59%4.03B1.08%4.35B13.06%4.22B13.11%3.97B34.34%4.45B34.34%4.45B48.46%4.31B40.33%3.74B
-Other intangible assets -19.70%3.19B-9.59%4.03B-9.59%4.03B1.08%4.35B13.06%4.22B13.11%3.97B34.34%4.45B34.34%4.45B48.46%4.31B40.33%3.74B
Other assets 32.14%117.5M32.90%111.42M32.90%111.42M-5.75%82.8M-1.67%81.09M682.75%88.92M39.39%83.84M39.39%83.84M876.11%87.85M760.64%82.47M
Total assets 16.90%12.8B-12.71%11.87B-12.71%11.87B2.64%12.2B12.79%12.43B-0.39%10.95B-39.63%13.6B-39.63%13.6B-27.86%11.89B-34.59%11.02B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase 1,546.96%7.26B-15.18%5.76B-15.18%5.76B--5.68B--6.14B--440.78M-58.90%6.79B-58.90%6.79B--------
Payables -27.86%415.75M3.31%417.2M3.31%417.2M-49.60%663.46M-37.96%582.93M-57.83%576.34M-24.26%403.83M-24.26%403.83M6.21%1.32B-20.30%939.63M
-Accounts payable -47.69%218.02M20.99%167.85M20.99%167.85M-56.45%503.89M-45.73%423.41M-65.47%416.82M-73.52%138.73M-73.52%138.73M-5.89%1.16B-23.40%780.17M
-Dividends payable 0.12%159.7M0.07%159.57M0.07%159.57M0.07%159.57M0.04%159.52M0.04%159.52M1,638.80%159.47M1,638.80%159.47M1,480.90%159.47M-0.61%159.46M
-Other payable --38.02M-15.01%89.78M-15.01%89.78M--------------105.63M--105.63M--------
Current accrued expenses --96.99M19.14%94.94M19.14%94.94M--------------79.69M--79.69M--------
Current debt and capital lease obligation -95.80%200M0.00%750M0.00%750M-89.39%500M-88.88%500M16.75%4.76B--750M--750M-55.07%4.71B-60.02%4.5B
-Current debt -95.80%200M0.00%750M0.00%750M-89.39%500M-88.88%500M16.75%4.76B--750M--750M-55.07%4.71B-60.02%4.5B
Long term provisions --68.22M3.92%62.87M3.92%62.87M--------------60.5M--60.5M--------
Long term debt and capital lease obligation -0.76%2.22B-0.97%2.22B-0.97%2.22B-1.25%2.23B-1.32%2.23B-1.43%2.23B-1.26%2.24B-1.26%2.24B32.72%2.25B37.40%2.26B
-Long term debt -0.16%2.08B-0.17%2.08B-0.17%2.08B-0.64%2.08B-0.65%2.09B-0.63%2.09B-0.63%2.09B-0.63%2.09B38.09%2.1B41.36%2.1B
-Long term capital lease obligation -9.30%133.17M-11.71%136.7M-11.71%136.7M-9.54%140.68M-10.00%145.07M-11.53%146.82M-9.03%154.84M-9.03%154.84M-12.98%155.51M0.61%161.18M
Non current deferred liabilities --49.36M-14.18%45.83M-14.18%45.83M--------------53.4M--53.4M--------
Derivative product liabilities -45.71%34.07M-5.64%48.61M-5.64%48.61M-81.94%38.88M-76.87%21.73M-45.64%62.74M40.23%51.52M40.23%51.52M250.51%215.33M13.82%93.96M
Total liabilities 28.08%10.34B-9.89%9.4B-9.89%9.4B7.22%9.11B21.63%9.48B3.18%8.07B-46.12%10.43B-46.12%10.43B-36.99%8.5B-44.95%7.79B
Shareholders'equity
Share capital 0.00%159K0.63%160K0.63%160K0.63%160K0.00%159K0.00%159K0.00%159K0.00%159K-0.63%159K-0.63%159K
-common stock 0.00%159K0.63%160K0.63%160K0.63%160K0.00%159K0.00%159K0.00%159K0.00%159K-0.63%159K-0.63%159K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Paid-in capital 101.25%2.09M88.48%1.7M88.48%1.7M89.29%1.48M89.39%1.27M91.14%1.04M106.64%903K106.64%903K150.48%784K257.75%669K
Retained earnings -8.32%111.98M-22.32%110.69M-22.32%110.69M-7.76%130.23M-12.74%120.38M-12.03%122.14M0.49%142.5M0.49%142.5M8.77%141.19M26.10%137.96M
Total stockholders'equity -7.38%114.22M-21.60%112.55M-21.60%112.55M-7.22%131.88M-12.23%121.81M-11.61%123.33M0.82%143.56M0.82%143.56M9.09%142.14M26.46%138.78M
Non controlling interests -14.84%2.34B-21.99%2.36B-21.99%2.36B-8.91%2.96B-8.42%2.83B-9.10%2.75B-0.02%3.03B-0.02%3.03B13.48%3.25B19.71%3.09B
Total equity -14.52%2.46B-21.98%2.47B-21.98%2.47B-8.84%3.09B-8.59%2.95B-9.21%2.87B0.02%3.17B0.02%3.17B13.29%3.39B19.98%3.22B
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
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