Hilltop Holdings Inc. (HTH) Estados Financieros e Histórico

Hilltop Holdings Inc. (HTH) — Precio $38.70 Financial ServicesFinancial - Conglomerates — NYSE

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Estados financieros detallados de Hilltop Holdings Inc. (HTH): cuenta de resultados, balance general y flujo de caja. Sigue la evolución de márgenes, deuda, liquidez y rentabilidad año a año con hasta 20 años de histórico.

Resumen del Análisis

Hilltop Holdings Inc. registró ingresos de $1.63B en el último ejercicio fiscal, con un CAGR de 5 años del -5.5%. El beneficio neto alcanzó $165.6M, con un CAGR a 5 años del -18.0%.

Márgenes de los últimos 12 meses: margen bruto 79.8%, margen operativo 13.5%, margen neto 10.2%.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos$1.65B$1.63B$1.39B$1.61B$2.16B$1.85B$1.35B$1.50B$1.54B$1.63B
Coste de Ventas$99.0M$99.7M$146.4M$178.9M$218.8M$48.8M$140.4M$389.9M$419.5M$350.7M
Beneficio Bruto$1.55B$1.53B$1.25B$1.43B$1.94B$1.80B$1.21B$1.11B$1.12B$1.27B
I+D0000000000
Generales y Administrativos$1.01B$1.02B$848.0M$925.2M$1.06B$1.01B$773.7M$678.3M$687.1M$812.2M
Gastos Operativos$1.32B$1.28B$1.09B$1.15B$1.38B$1.30B$1.06B$964.6M$967.4M$1.05B
Beneficio Operativo$231.4M$243.3M$155.0M$282.7M$564.4M$504.1M$156.1M$149.1M$154.3M$221.1M
EBITDA$181.6M$229.4M$149.7M$281.2M$586.3M$528.7M$188.8M$168.7M$174.2M$236.8M
Gastos por Intereses$58.4M$85.4M$141.3M$171.7M$122.3M$107.0M$132.1M$371.5M$418.6M$343.3M
Beneficio Antes de Impuestos$231.4M$243.3M$155.0M$282.7M$564.4M$504.1M$156.1M$149.1M$154.3M$221.1M
Impuestos$83.5M$110.1M$34.2M$63.7M$133.1M$118.0M$36.8M$31.1M$31.0M$49.0M
Beneficio Neto$145.9M$132.5M$121.4M$225.3M$447.8M$374.5M$113.1M$109.6M$113.2M$165.6M
BPA$1.48$1.36$1.28$2.44$4.59$4.64$1.61$1.69$1.74$2.64
BPA Diluido$1.48$1.36$1.28$2.44$4.58$4.61$1.60$1.69$1.74$2.64
Acciones en Circulación (Diluidas)$98.6M$97.4M$95.1M$92.4M$89.3M$81.2M$70.6M$65.0M$65.0M$62.7M

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos$418.1M$411.2M$372.7M$389.0M
Beneficio Bruto$332.7M$322.1M$298.7M$316.8M
Beneficio Operativo$60.8M$53.1M$50.4M$50.0M
EBITDA$64.5M$56.1M$52.2M$50.0M
Beneficio Neto$45.8M$41.6M$37.8M$36.5M
BPA$0.74$0.69$0.64$0.63
BPA Diluido$0.74$0.69$0.64$0.63

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes$669.4M$487.0M$644.1M$433.6M$1.06B$2.82B$1.58B$1.86B$2.30B$1.23B
Inversiones a Corto$598.0M$744.3M$875.7M$911.5M$1.46B$2.13B$1.66B$1.51B$1.40B$1.96B
Cuentas por Cobrar$1.50B$1.46B$1.44B$1.78B$1.40B$1.67B$1.04B$1.57B$1.45B0
Inventario0000000000
Activos Corrientes$2.77B$2.72B$2.96B$3.13B$3.93B$6.63B$4.28B$4.94B$5.15B$1.23B
Inmovilizado Material$190.4M$177.6M$237.4M$324.7M$317.4M$316.8M$287.4M$257.4M$238.8M$316.7M
Fondo de Comercio$251.8M$251.8M$291.4M$267.4M$267.4M$267.4M$267.4M$267.4M$267.4M$267.4M
Activos Intangibles$44.7M$36.4M$38.0M$82.2M$164.1M$102.3M$112.1M$105.1M$12.4M$5.6M
Activos Totales$12.74B$13.37B$13.68B$15.18B$16.94B$18.69B$16.27B$16.47B$16.27B$15.84B
Cuentas por Pagar$1.35B$1.29B$1.29B$1.61B$1.37B$1.48B$966.5M$1.43B$1.33B$1.52B
Deuda a Corto$1.59B$1.45B$1.20B$1.55B$811.8M$997.7M$1.02B$934.9M$891.3M$706.9M
Pasivos Corrientes$10.00B$10.72B$11.03B$12.18B$13.42B$15.29B$13.31B$13.43B$13.29B$5.07B
Deuda a Largo$365.4M$262.4M$247.5M$244.6M$412.8M$346.2M$346.7M$347.1M$347.7M$148.6M
Pasivos Totales$10.86B$11.46B$11.71B$13.05B$14.59B$16.14B$14.20B$14.32B$14.05B$13.65B
Reservas$295.6M$384.5M$466.7M$644.9M$986.8M$1.26B$1.12B$1.19B$1.25B$1.27B
Patrimonio Neto$1.87B$1.91B$1.95B$2.10B$2.32B$2.52B$2.05B$2.12B$2.19B$2.17B
Deuda Total$1.96B$1.72B$1.44B$1.90B$1.35B$1.47B$1.50B$1.39B$1.35B$926.8M
Deuda Neta$688.7M$483.8M-$76.4M$558.1M-$1.17B-$3.48B-$1.74B-$1.98B-$2.35B-$2.27B
Capital Circulante-$7.24B-$8.00B-$8.07B-$9.06B-$9.49B-$8.67B-$9.03B-$8.49B-$8.14B-$3.83B

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes$1.28B$1.23B$874.2M$750.5M
Activos Totales$15.61B$15.84B$15.70B$16.00B
Pasivos Totales$13.39B$13.65B$13.53B$13.84B
Patrimonio Neto$2.19B$2.17B$2.14B$2.13B
Deuda Total$998.8M$926.8M$1.31B$1.58B

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto$147.9M$133.1M$125.7M$233.0M$469.7M$374.5M$119.3M$118.0M$123.2M$165.6M
Amortizaciones-$49.8M-$13.9M-$5.3M-$1.5M$21.9M$24.6M$32.6M$19.6M$19.9M0
Compensación en Acciones0$10.8M$9.1M00$17.5M0000
Cambio en Capital Circulante-$17.6M-$606.2M-$69.8M$28.6M$543.2M-$620.2M$99.2M$245.8M$107.8M$17.2M
Flujo de Caja Operativo-$161.0M-$320.7M$389.5M-$433.0M$280.4M$765.6M$1.19B$443.0M$273.9M-$78.3M
Inversiones (CapEx)-$41.9M-$31.2M-$67.7M-$42.3M-$37.7M-$24.8M-$9.8M-$8.5M-$7.1M-$16.8M
Adquisiciones00-$63.2M000000$74.9M
Recompra de Acciones0-$27.4M-$59.0M-$73.4M-$208.7M-$123.6M-$442.3M-$5.1M-$19.9M-$184.0M
Dividendos Pagados-$5.8M-$23.1M-$26.7M-$29.6M-$32.5M-$39.0M-$43.0M-$41.6M-$44.3M-$45.4M
Flujo de Caja Libre-$202.9M-$351.9M$321.5M-$475.3M$242.7M$740.9M$1.18B$434.5M$266.8M-$95.1M

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo$273.0M-$35.2M-$127.3M-$157.5M
Inversiones (CapEx)-$2.0M-$14.1M-$6.6M$6.6M
Flujo de Caja Libre$271.0M-$49.3M-$133.9M-$150.8M
Dividendos Pagados-$11.2M-$11.0M-$11.8M-$11.6M
Compensación en Acciones0000

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)-1.7%-14.4%+15.7%+34.0%-14.1%-27.0%+11.1%+2.5%+5.5%
Crecimiento Beneficio Neto (anual)-9.2%-8.4%+85.5%+98.8%-16.4%-69.8%-3.1%+3.3%+46.3%
Crecimiento BPA (anual)-8.1%-5.9%+90.6%+88.1%+1.1%-65.3%+5.0%+3.0%+51.7%
Cambio en Acciones (anual)-1.3%-2.3%-2.8%-3.3%-9.1%-13.0%-7.9%+0.0%-3.6%
Crecimiento FCF (anual)-73.4%+191.4%-247.9%+151.1%+205.3%+59.2%-63.2%-38.6%-135.6%
Margen Bruto94.0%93.9%89.5%88.9%89.9%97.4%89.6%74.1%72.8%78.4%
Margen Operativo14.0%15.0%11.1%17.5%26.1%27.2%11.5%9.9%10.0%13.6%
Margen EBITDA11.0%14.1%10.8%17.5%27.2%28.5%14.0%11.2%11.3%14.6%
Margen Neto8.8%8.1%8.7%14.0%20.7%20.2%8.4%7.3%7.3%10.2%
Margen FCF-12.3%-21.6%23.1%-29.5%11.2%40.0%87.2%28.9%17.3%-5.9%
Tasa Impositiva Efectiva36.1%45.3%22.1%22.5%23.6%23.4%23.6%20.9%20.1%22.2%

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción$-2.06$-3.61$3.38$-5.14$2.72$9.13$16.70$6.68$4.10$-1.52
Dividendo por Acción$0.06$0.24$0.28$0.32$0.36$0.48$0.61$0.64$0.68$0.72
Acciones en Circulación (Básicas)$98.4M$97.1M$95.0M$92.3M$89.3M$80.7M$70.4M$65.0M$65.0M$62.7M

Qué mirar en Servicios Financieros

Asset managers, brokers, fintech, bolsas. No son bancos — mira AUM, comisiones y calidad del FCF.

Rentabilidad

Margen bruto79.85%
Margen operativo13.48%
Margen neto10.17%

Salud financiera

Deuda / Patrimonio0.74
Ratio corriente0.61

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
P/E20.1418.6213.9310.225.997.5718.6420.8316.4512.86
P/VC1.571.290.871.091.061.121.031.080.850.98
P/V1.771.511.221.431.141.531.561.521.211.31
Margen Bruto94.0%93.9%89.5%88.9%89.9%97.4%89.6%74.1%72.8%78.4%
Margen Operativo14.0%15.0%11.1%17.5%26.1%27.2%11.5%9.9%10.0%13.6%
Margen Neto8.8%8.1%8.7%14.0%20.7%20.2%8.4%7.3%7.3%10.2%

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Explorar sector: Financial Services · Financial - Conglomerates

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