(0.51%) 5 214.08 points
(0.85%) 39 388 points
(0.27%) 16 346 points
(0.73%) $79.57
(5.58%) $2.31
(1.28%) $2 352.10
(3.53%) $28.58
(0.85%) $993.00
(-0.28%) $0.927
(-0.44%) $10.84
(-0.18%) $0.799
(-0.12%) $91.63
FY/2023
Generated By Getagraph.com: 2023-12-31
Heartland Express Inc [HTLD]
1.43% $ 11.36
Биржа: NASDAQ Сектор: Industrials Промышленность: Trucking
HTLD reported a total revenue of $275.35M with a gross profit of $94.48M, resulting in a gross profit ratio of 34.31%. The operating income for the period was $10.7M, and the net income stood at $5.1M, reflecting an earnings per share (EPS) of $0.0645. Notably, the company generated a net cash flow from operating activities of $51.12M and concluded the period with a healthy cash and cash equivalents balance of $28.12M.
The balance sheet indicates that HTLD's total assets amount to $1.93B, with total liabilities at $644.39M. The total stockholders' equity is $1.28B, and the total debt stands at $317.44M.
The company generated a free cash flow of $51.12M during the period, showcasing a healthy cash flow from operating activities.
HTLD's gross profit ratio is 34.31%, and the EBITDA ratio is 18.25%. The net income ratio stands at 1.85%, indicating a healthy overall profit margin.
Overall, HTLD has demonstrated strong financial performance with a healthy gross profit ratio and positive net income. The company's robust cash flow from operating activities and stable balance sheet with a strong equity position bode well for its future.
Key Financial Metrics | Amount (USD) |
---|---|
Revenue | $275,350,000 |
Net Income | $5,095,000 |
Operating Cash Flow | $51,120,000 |
Total Assets | $1,929,251,000 |
Total Liabilities | $644,386,000 |
Total Stockholders' Equity | $1,284,865,000 |
For detailed financial data, visit SEC EDGAR
Revenues FY - 2023
Revenue | Gross Profit | Operating Expenses | Interest Expense | EBITDA | Net Income | EPS |
---|---|---|---|---|---|---|
$1.21B | $78.20M" | $76.90M | $24.19M | $200.34M | $14.78M | $0.190 |
Balance FY - 2023
Net Income | Depreciation and Amortization | Stock Based Compensation | Change in Working Capital | Net Cash Provided by Operating Activities | Capital Expenditure | Free Cash Flow |
---|---|---|---|---|---|---|
$14.78M | $199.04M | $1.62M | $7.93M | $165.27M | $-208.60M | $-43.33M |