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HTLF Quote, Financials, Valuation and Earnings

Last price:
$61.69
Seasonality move :
0.16%
Day range:
$62.21 - $63.15
52-week range:
$32.04 - $70.27
Dividend yield:
1.91%
P/E ratio:
35.30x
P/S ratio:
4.49x
P/B ratio:
1.33x
Volume:
67.3K
Avg. volume:
191.8K
1-year change:
63.85%
Market cap:
$2.7B
Revenue:
$580.4M
EPS (TTM):
$1.78
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Revenue $569.4M $606.9M $688.9M $727.5M $580.4M
Revenue Growth (YoY) 9.23% 6.6% 13.51% 5.61% -20.23%
 
Cost of Revenues -- -- -- -- --
Gross Profit -- -- -- -- --
Gross Profit Margin -- -- -- -- --
 
R&D Expenses -- -- -- -- --
Selling, General & Admin $210.2M $207.9M $253.1M $267.7M $279.6M
Other Inc / (Exp) $8.2M $8.4M $6M -$1M -$141.3M
Operating Expenses $215.6M $213.2M $257.2M $267.9M $275.9M
Operating Income -- -- -- -- --
 
Net Interest Expenses -- -- -- -- --
EBT. Incl. Unusual Items $184.1M $174M $275.3M $267.8M $96.8M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $35M $36.1M $55.3M $55.6M $16.9M
Net Income to Company $149.1M $137.9M $219.9M $212.2M $79.9M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $149.1M $137.9M $219.9M $212.2M $79.9M
 
Basic EPS (Cont. Ops) $4.14 $3.58 $5.01 $4.80 $1.68
Diluted EPS (Cont. Ops) $4.14 $3.57 $5.00 $4.79 $1.68
Weighted Average Basic Share $36M $37.3M $42.3M $42.5M $42.7M
Weighted Average Diluted Share $36.1M $37.4M $42.4M $42.6M $42.8M
 
EBITDA -- -- -- -- --
EBIT $264.7M $218.9M $303.5M $344.2M $449.3M
 
Revenue (Reported) $569.4M $606.9M $688.9M $727.5M $580.4M
Operating Income (Reported) -- -- -- -- --
Operating Income (Adjusted) $264.7M $218.9M $303.5M $344.2M $449.3M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $152M $175.3M $185.3M $174M $203.3M
Revenue Growth (YoY) 8.25% 15.35% 5.73% -6.09% 16.82%
 
Cost of Revenues -- -- -- -- --
Gross Profit -- -- -- -- --
Gross Profit Margin -- -- -- -- --
 
R&D Expenses -- -- -- -- --
Selling, General & Admin $51.9M $62.6M $66.2M $67.2M $67.7M
Other Inc / (Exp) $1.5M $1.6M -$1.3M -$101K -$9.1M
Operating Expenses $53.3M $64.7M $65.9M $66.4M $67M
Operating Income -- -- -- -- --
 
Net Interest Expenses -- -- -- -- --
EBT. Incl. Unusual Items $61.6M $69.2M $70.7M $61.6M $84.7M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $13.7M $13.3M $14.1M $13.5M $20.5M
Net Income to Company $48M $55.9M $56.6M $48.1M $64.2M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $48M $55.9M $56.6M $48.1M $64.2M
 
Basic EPS (Cont. Ops) $1.23 $1.27 $1.28 $1.08 $1.45
Diluted EPS (Cont. Ops) $1.23 $1.27 $1.28 $1.08 $1.44
Weighted Average Basic Share $36.9M $42.3M $42.6M $42.8M $43M
Weighted Average Diluted Share $37M $42.4M $42.6M $42.8M $43.2M
 
EBITDA -- -- -- -- --
EBIT $70.1M $75.8M $90.6M $161.2M $180.6M
 
Revenue (Reported) $152M $175.3M $185.3M $174M $203.3M
Operating Income (Reported) -- -- -- -- --
Operating Income (Adjusted) $70.1M $75.8M $90.6M $161.2M $180.6M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $583.6M $681.8M $704.5M $730.9M $604M
Revenue Growth (YoY) -- -- -- -- --
 
Cost of Revenues -- -- -- -- --
Gross Profit -- -- -- -- --
Gross Profit Margin -- -- -- -- --
 
R&D Expenses -- -- -- -- --
Selling, General & Admin $207.7M $234.8M $271.8M $268.1M $284.6M
Other Inc / (Exp) $6.1M $7.3M $649K -$1.5M -$158.9M
Operating Expenses $215M $239M $272.8M $266.6M $276.7M
Operating Income -- -- -- -- --
 
Net Interest Expenses -- -- -- -- --
EBT. Incl. Unusual Items $168.1M $264.3M $253M $269.1M $106M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $32.2M $54.1M $51.9M $58.1M $20.8M
Net Income to Company $136M $210.2M $201.1M $210.9M $85.2M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $136M $210.2M $201.1M $210.9M $85.2M
 
Basic EPS (Cont. Ops) $3.62 $4.78 $4.55 $4.76 $1.79
Diluted EPS (Cont. Ops) $3.62 $4.78 $4.54 $4.75 $1.78
Weighted Average Basic Share -- -- -- -- --
Weighted Average Diluted Share -- -- -- -- --
 
EBITDA -- -- -- -- --
EBIT $225.2M $293.9M $296.8M $561.3M $496M
 
Revenue (Reported) $583.6M $681.8M $704.5M $730.9M $604M
Operating Income (Reported) -- -- -- -- --
Operating Income (Adjusted) $225.2M $293.9M $296.8M $561.3M $496M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Revenue $444.3M $519.2M $534.7M $538.1M $561.7M
Revenue Growth (YoY) -- -- -- -- --
 
Cost of Revenues -- -- -- -- --
Gross Profit -- -- -- -- --
Gross Profit Margin -- -- -- -- --
 
R&D Expenses -- -- -- -- --
Selling, General & Admin $155.2M $182.1M $200.8M $202.8M $207.8M
Other Inc / (Exp) $5.6M $4.4M -$887K -$1.4M -$19M
Operating Expenses $160.2M $186M $201.6M $201.9M $202.7M
Operating Income -- -- -- -- --
 
Net Interest Expenses -- -- -- -- --
EBT. Incl. Unusual Items $125.1M $215.4M $193.2M $194.5M $203.7M
Earnings of Discontinued Ops. -- -- -- -- --
Income Tax Expense $27M $45.1M $41.6M $44.2M $48.1M
Net Income to Company $98.1M $170.3M $151.5M $150.3M $155.6M
 
Minority Interest in Earnings -- -- -- -- --
Net Income to Common Excl Extra Items $98.1M $170.3M $151.5M $150.3M $155.6M
 
Basic EPS (Cont. Ops) $2.59 $3.88 $3.42 $3.38 $3.49
Diluted EPS (Cont. Ops) $2.59 $3.88 $3.42 $3.38 $3.48
Weighted Average Basic Share $110.6M $126.7M $127.4M $128.1M $128.7M
Weighted Average Diluted Share $110.8M $127.1M $127.8M $128.3M $129.2M
 
EBITDA -- -- -- -- --
EBIT $161.8M $236.8M $230.1M $447.3M $494M
 
Revenue (Reported) $444.3M $519.2M $534.7M $538.1M $561.7M
Operating Income (Reported) -- -- -- -- --
Operating Income (Adjusted) $161.8M $236.8M $230.1M $447.3M $494M
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Cash and Equivalents $382.3M $341M $438.5M $364.8M $324.3M
Short Term Investments -- -- -- -- --
Accounts Receivable, Net -- -- -- -- --
Inventory -- -- -- -- --
Prepaid Expenses -- -- -- -- --
Other Current Assets -- -- -- -- --
Total Current Assets $382.3M $341M $438.5M $364.8M $324.3M
 
Property Plant And Equipment $197.6M $219.6M $205M $190.5M $177M
Long-Term Investments $3.4B $6.3B $7.7B $7.1B $5.6B
Goodwill $446.3M $576M $576M $576M $576M
Other Intangibles $55.4M $48.4M $39.9M $33M $18.4M
Other Long-Term Assets -- -- -- -- --
Total Assets $13.2B $17.9B $19.3B $20.2B $19.4B
 
Accounts Payable -- -- -- -- --
Accrued Expenses -- -- -- -- --
Current Portion Of Long-Term Debt $95.7M $12.5M $8.6M $56.8M $579.8M
Current Portion Of Capital Lease Obligations -- -- -- -- --
Other Current Liabilities -- -- -- -- --
Total Current Liabilities $182.6M $132.9M $131.6M $152.1M $622.3M
 
Long-Term Debt $130.4M $121.8M $224.8M $223.5M $223.1M
Capital Leases -- -- -- -- --
Total Liabilities $11.6B $15.8B $17.1B $18.5B $17.5B
 
Common Stock $36.7M $152.8M $153M $153.2M $153.4M
Other Common Equity Adj -$926K $72.7M -$5.8M -$620M -$452.5M
Common Equity $1.6B $2B $2.1B $1.6B $1.8B
Total Preferred Equity -- -- -- -- --
Minority Interest, Total -- -- -- -- --
Total Equity $1.6B $2.1B $2.2B $1.7B $1.9B
 
Total Liabilities and Equity $13.2B $17.9B $19.3B $20.2B $19.4B
Cash and Short Terms $382.3M $341M $438.5M $364.8M $324.3M
Total Debt $226.1M $134.3M $233.4M $280.3M $802.9M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Cash and Equivalents $334.8M $330.5M $401.6M $349.5M $589.4M
Short Term Investments -- -- -- -- --
Accounts Receivable, Net -- -- -- -- --
Inventory -- -- -- -- --
Prepaid Expenses -- -- -- -- --
Other Current Assets -- -- -- -- --
Total Current Assets $334.8M $330.5M $401.6M $349.5M $589.4M
 
Property Plant And Equipment $199.5M $219.3M $194.8M $184.6M $145.3M
Long-Term Investments $5.1B $7.6B $7B $6.4B $5B
Goodwill $446.3M $576M $576M $576M $576M
Other Intangibles $46.3M $41.5M $35.4M $20M $14.2M
Other Long-Term Assets -- -- -- -- --
Total Assets $15.6B $19B $19.7B $20.1B $18.3B
 
Accounts Payable -- -- -- -- --
Accrued Expenses -- -- -- -- --
Current Portion Of Long-Term Debt $16.5M $47M $6M $363.5M $17.7M
Current Portion Of Capital Lease Obligations -- -- -- -- --
Other Current Liabilities -- -- -- -- --
Total Current Liabilities $106.7M $175.6M $117M $392.6M $46.2M
 
Long-Term Debt $125.4M $224.7M $223.4M $223.5M $223.3M
Capital Leases -- -- -- -- --
Total Liabilities $13.8B $16.8B $18B $18.3B $16.1B
 
Common Stock $147.6M $153M $153.1M $153.4M $153.6M
Other Common Equity Adj $55.4M $23.6M -$650.6M -$642.8M -$364.3M
Common Equity -- -- -- -- --
Total Preferred Equity -- -- -- -- --
Minority Interest, Total -- -- -- -- --
Total Equity $1.8B $2.2B $1.7B $1.8B $2.1B
 
Total Liabilities and Equity $15.6B $19B $19.7B $20.1B $18.3B
Cash and Short Terms $334.8M $330.5M $401.6M $349.5M $589.4M
Total Debt $141.9M $271.7M $229.4M $587M $241M
Period Ending 2019-12-31 2020-12-31 2021-12-31 2022-12-31 2023-12-31
Net Income to Stockholders $149.1M $137.9M $219.9M $212.2M $79.9M
Depreciation & Amoritzation $30.8M $27.3M $26.9M $24.5M $20.4M
Stock-Based Compensation $6.1M $7.4M $8.7M $8.2M $9.4M
Change in Accounts Receivable $1.3M -$10M -$1.6M -$17.5M -$11.3M
Change in Inventories -- -- -- -- --
Cash From Operations $161.2M $190.4M $326M $388M $280.3M
 
Capital Expenditures $17.9M $18.5M $17.2M $14.8M $7.1M
Cash Acquisitions $26.8M $641.3M -$15.7M -$50.6M --
Cash From Investing -$574M -$2.3B -$1.5B -$1.8B $802.2M
 
Dividends Paid (Ex Special Dividend) -$24.6M -$31.9M -$48.6M -$54.2M -$59.2M
Special Dividend Paid
Long-Term Debt Issued $512.1M $871.1M $289.3M $480.5M $1.3B
Long-Term Debt Repaid -$620.9M -$732M -$411.8M -$236.2M -$1.1B
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -- -- -- -- --
Cash From Financing $517.9M $2.1B $1.3B $1.4B -$1.1B
 
Beginning Cash (CF) $273.6M $378.7M $337.9M $435.6M $363.1M
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions $105.1M -$40.8M $97.7M -$72.5M -$40.1M
Ending Cash (CF) $378.7M $337.9M $435.6M $363.1M $323M
 
Levered Free Cash Flow $143.2M $171.8M $308.8M $373.2M $273.3M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders $48M $55.9M $56.6M $48.1M $64.2M
Depreciation & Amoritzation $6.7M $6.7M $5.8M $4.9M $4.4M
Stock-Based Compensation $2M $2M $2.3M $849K $2.1M
Change in Accounts Receivable -$3.7M -$460K -$5.1M -$7.1M $4.2M
Change in Inventories -- -- -- -- --
Cash From Operations $52M $79.3M $124.7M $212.4M $136.6M
 
Capital Expenditures $5.5M $4.2M $4.1M $2.7M -$1.6M
Cash Acquisitions -- -$15.7M -- -- -$176.8M
Cash From Investing -$659.1M -$836.5M -$185.7M -$34.8M $246.7M
 
Dividends Paid (Ex Special Dividend) -$9.8M -$12.6M -$13.5M -$14.8M -$14.9M
Special Dividend Paid -- -- -- -- --
Long-Term Debt Issued $451.4M $295.4M $109M $566.4M -$53.8M
Long-Term Debt Repaid -$16M -$82.1M -$61.2M -$218.8M -$90.5M
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -- -- -- -- --
Cash From Financing $485.2M $635.5M $76.1M -$229.7M -$168.9M
 
Beginning Cash (CF) $453.6M $449.1M $384.8M $400.2M $373.9M
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions -$121.9M -$121.7M $15.1M -$52.2M $214.4M
Ending Cash (CF) $331.7M $327.4M $399.9M $348M $588.4M
 
Levered Free Cash Flow $46.5M $75.1M $120.6M $209.7M $138.2M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders $136M $210.2M $201.1M $210.9M $85.2M
Depreciation & Amoritzation $28M $26.9M $25.3M $21.2M $18.3M
Stock-Based Compensation $6.8M $8.6M $9.4M $8.5M $10M
Change in Accounts Receivable -$7.6M -$1.7M -$7.3M -$21.4M $4.9M
Change in Inventories -- -- -- -- --
Cash From Operations $147.3M $340.2M $406.3M $471.9M $197M
 
Capital Expenditures $22.7M $21.1M $13.8M $8.2M $2.6M
Cash Acquisitions $37.4M $625.6M -$50.6M -- -$176.8M
Cash From Investing -$2.6B -$1.3B -$1.5B -$548.2M $1.6B
 
Dividends Paid (Ex Special Dividend) -$31.1M -$42.5M -$53.8M -$58.2M -$59.4M
Special Dividend Paid
Long-Term Debt Issued $1.1B -- $242.3M $847.9M $1.8B
Long-Term Debt Repaid -$655.6M -$387.3M -$362.5M -$601.6M -$1.7B
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -- -- -- -- --
Cash From Financing $2.4B $935.6M $1.1B $24.4M -$1.5B
 
Beginning Cash (CF) -- -- -- -- --
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions -$116.1M -$4.3M $72.5M -$51.9M $240.4M
Ending Cash (CF) -- -- -- -- --
 
Levered Free Cash Flow $124.6M $319.1M $392.6M $463.7M $194.4M
Period Ending 2020-09-30 2021-09-30 2022-09-30 2023-09-30 2024-09-30
Net Income to Stockholders $98.1M $170.3M $151.5M $150.3M $155.6M
Depreciation & Amoritzation $20.7M $20.3M $18.8M $15.5M $13.4M
Stock-Based Compensation $5.6M $6.7M $7.4M $7.7M $8.2M
Change in Accounts Receivable -$8M $353K -$5.3M -$9.2M $7M
Change in Inventories -- -- -- -- --
Cash From Operations $83M $232.9M $313.1M $397.1M $313.8M
 
Capital Expenditures $13.2M $15.7M $12.3M $5.7M $1.2M
Cash Acquisitions -- -$15.7M -$50.6M -- -$176.8M
Cash From Investing -$2.3B -$1.3B -$1.2B $26.9M $783M
 
Dividends Paid (Ex Special Dividend) -$24.5M -$35.1M -$40.4M -$44.3M -$44.6M
Special Dividend Paid -- -- -- -- --
Long-Term Debt Issued $1B $297.1M $250M $617.4M $1.1B
Long-Term Debt Repaid -$630.1M -$285.5M -$236.2M -$601.6M -$1.2B
Repurchase of Common Stock -- -- -- -- --
Other Financing Activities -- -- -- -- --
Cash From Financing $2.2B $1B $889.1M -$439.1M -$831.3M
 
Beginning Cash (CF) $1.1B $1.3B $1.4B $1.1B $1.1B
Foreign Exchange Rate Adjustment -- -- -- -- --
Additions / Reductions -$47.1M -$10.5M -$35.7M -$15.1M $265.4M
Ending Cash (CF) $1B $1.2B $1.4B $1.1B $1.4B
 
Levered Free Cash Flow $69.9M $217.1M $300.9M $391.4M $312.6M

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