Comstock Holding Companies, Inc.

NASDAQ:CHCI

8.3 (USD) • At close January 23, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income 7.72816.0392.0820.893-4.046-4.778-6.762-1.963-3.1142.661-5.6391.598-7.698-26.752-17.058-87.51-39.84527.56214.303
Depreciation & Amortization 0.2060.0940.2260.2170.1680.1810.1810.1640.10.5530.1220.1960.0980.8430.8966.9933.472.5180.106
Deferred Income Tax -0.055-11.30.3928.403-0.9360.5560.007-1.0572.737-0.243-3.9741.284-1.6419.044-12.85710.657-21.816-1.724-0.531
Stock Based Compensation 0.8340.6330.7770.4790.2340.3460.0690.0940.2950.4831.4470.9320.780.1580.1480.1982.392.3460.101
Change In Working Capital -0.3573.208-0.068-1.68218.2347.654-8.7983.006-5.546-8.275-9.288.94522.30420.60323.748107.574-85.773-159.544-7.976
Accounts Receivables -1.9321.8860.45-1.65-3.6430.271-0.281-0.2220.2261.2870.569-1.837-1.9520.610.374.1853.593-6.1262.107
Inventory 01.12401.60322.3994.778-11.091.562-3.717-12.413-8.98410.29219.92718.27614.289.668-5.01300
Accounts Payables -0.041-0.041-0.9150.240.5041.3560.1410.2570.1662.8150.2170.3643.562.278-12.084-31.629-14.24723.59924.025
Other Working Capital 1.6160.2390.397-1.875-1.0261.2492.4321.409-2.2210.036-1.0820.1260.769-0.56121.182125.35-70.106-177.017-34.108
Other Non Cash Items -0.264-0.8670.0270.0842.5981.1053.4872.3160.3040.4821.283-0.2191.548-1.96518.02278.58955.211-2.2435.143
Operating Cash Flow 8.0927.8073.4368.39416.2525.064-11.8162.56-5.224-4.339-16.04112.73615.39211.93112.899116.501-86.363-131.08511.146
Investing Activities:
Investments In Property Plant And Equipment -0.626-0.188-0.147-0.207-0.08-0.054-0.042-0.163-0.252-0.091-0.158-0.078-0.00400-0.129-2.392-0.298-0.372
Acquisitions Net 1.01600-1.20-0.579000-0.007000000-15.4901.215
Purchases Of Investments 000-1.200000-0.0070-9.7640000000
Sales Maturities Of Investments 0001.2000000.286000000000
Other Investing Activites -2.4891.4281.8181.5520.039-0.2010.269-0.5780.512119.07500000010.12
Investing Cash Flow -2.0991.241.6710.145-0.041-0.8340.227-0.7410.261.18118.917-9.842-0.00400-0.129-17.8820.7020.963
Financing Activities:
Debt Repayment -5.5-0.126-7.071-0.228-29.191-29.947-33.735-40.078-27.857-35.688-27.512-38.436-17.649-17.697-63.1440000
Common Stock Issued 4.230.0280.0680.1410.1310.1270.0580.0010.005002.350.01400.0090.05518.70252.94264.962
Common Stock Repurchased -40000-0.0890-0.079-0.1030000000-2.43800
Dividends Paid 00000-0.0240-43.3-43.484000000-0.003-0.044-15.067-28.349
Other Financing Activities -4.824-0.1585.417-5.79516.91321.74838.57986.58772.00647.20222.53638.3561.6370.87449.391-130.86467.12267.1161.677
Financing Cash Flow -10.094-0.256-1.586-5.882-12.147-8.1854.9023.1310.56711.514-4.9762.27-15.998-16.823-13.744-130.81283.342104.99138.29
Other Information:
Effect Of Forex Changes On Cash 000000000000000-0.001-0.00100
Net Change In Cash -4.1018.7913.5212.6574.064-3.955-6.6874.95-4.3978.356-2.15.164-0.61-4.892-0.845-14.441-20.904-25.39250.399
Cash At End Of Period 11.72215.8237.0323.5117.0111.8065.76112.4487.49811.8953.5395.6390.4751.0855.9776.82221.26342.16767.559