Host Hotels & Resorts, Inc.

NASDAQ:HST

17.29 (USD) • At close January 22, 2025
Overview | Financials

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

2023-11-062023-08-042023-05-052023-02-222022-11-042022-08-052022-05-062022-02-242021-11-052021-08-052021-05-052021-02-252020-11-062020-07-312020-05-082020-02-252019-11-072019-08-082019-05-032019-02-262018-11-052018-08-082018-05-032018-02-272017-11-022017-07-282017-05-022017-02-242016-11-022016-07-292016-04-292016-02-222015-10-302015-07-312015-05-012015-02-252014-10-312014-08-012014-05-022014-02-262013-11-062013-08-062013-05-072013-02-252012-10-152012-07-232012-04-302012-02-222011-10-172011-07-252011-05-022011-02-242010-10-152010-07-272010-05-032010-03-012009-10-162009-07-282009-04-232009-02-272008-10-152008-07-212008-04-282008-02-262007-10-152007-07-242007-05-012007-02-272006-10-162006-07-242006-05-032006-03-102005-10-172005-07-252005-05-032005-03-012004-10-192004-07-262004-05-032004-03-022003-10-172003-08-042003-05-122003-03-312002-10-212002-07-292002-05-062002-03-292001-10-222001-07-302001-05-072001-04-022000-10-232000-07-252000-05-082000-03-161999-10-251999-08-021999-05-101999-03-261998-09-301998-06-301998-03-311997-12-311997-09-301997-06-301997-03-311996-12-311996-09-301996-06-301996-03-311995-12-311995-09-301995-06-301995-03-311994-12-311994-09-301994-06-301994-03-31
Operating Activities:
Net Income 113214291149116260118323-120-61-153-66-316-356-381372290189306378211256931052121611281083511841668521610425814515918566812341-30-3583-216-3662-60-7-6120-84-81-54-47-761223019061435971514717335962071-492-740-4817-3296-88-14-34-9-2524-12-22-64932283-17-50-5759316145944663096266-6-27-12-494-3-14-12110-18
Depreciation & Amortization 17416816916616416217216526316916516716616816417516516617016541218917821717617818018318217818118118018017517717817417217317517217727816115915321314915214118413413813722512517517819113313112416311911911614511810789119848684104848383109848688118868484112871027710775757490686768427-59-67-58-78-56-51-51-54-41-33-343-41-42-42-48-39-42-40
Deferred Income Tax 070-36390-10-13-22-9-165331,119-39-3-54-104-5475-12611726-6-21622-91512-13-358-11-5124-513810-14226-21-14-54-21-5-268-15-1329-6600-6-16-500000000000000000000000000000000271800010000022-6-81-1-10
Stock Based Compensation 0677955545464434434344333234233213575646444451-101206733-119-192446026-150000015000000000000000000000000000000000000000000000000000
Change In Working Capital 062-1277579-2468-27-83-5986-38-1,095-7142711-1488537-3-6540107-108741415-9160-836-10797-1005-855731-12-3542-19-26-263314-4-302429-8-46369-4631297-14160-102156-105-63-81195-37-38488-11-5933156-120-28-811016-38441,32014-4985887-1915420-13-27173033-400000000000000000000
Accounts Receivables 00000000000000000000000000000000000000000000000000000000000-140014920-57-35-37131-79-82235-39-9454-40-19331910-3000000000000000000000000000000000000
Inventory 000000000000000000000000000000000000000000000000000000000007400-314-5590-680-1,289-554-363-565-717-372-586-591-1,008-634-427-1,092-1,250-1,016-766-652-697000000000000000000000000000000000000
Accounts Payables 00000000000000000000000000000000000000000000000000000000000-230023380-24-14-63221-151228-191924-205-3736-2-16000000000000000000000000000000000000
Other Working Capital 062-1277579-2468-27-83-5986-38-1,095-7142711-1488537-3-6540107-108741415-9160-836-10797-1005-855731-12-3542-19-26-263314-4-302429-8-46369-4631-3597-1413373271566561,2755163955867023536176119776445051,0321,2361,012821660678441,32014-4985887-1915420-13-27173033-400000000000000000000
Other Non Cash Items -28755-3234-4-28-10-3371113-1712-12353-27512-20421212-59-22-21-1-17-176-49-57-7-589-15062-94257-8-5974-38-3123-6029172-1-11-43-1438-10-167-26342739-2421299-31-4330-10-81641519-48-1-4-65-1,256-5-9-131-6-24-255-4599914178-762-67-105-45812781109220170128134153617686331348081981137380
Operating Cash Flow 2875123083603484472612141189-49-143-149-172157336290417207359286407248366252403209386305393219353256389173386239354171322237283177357123229732621432193719210917049182115135120305274212229335346199121275319187100203137124481671114438216588712881251175957133214-1658517715368901319446372107991511201039093185040-1399371930863012
Investing Activities:
Investments In Property Plant And Equipment 0-177-146-147-117-118-122-134-113-87-93-115-84-169-131-166-152-130-110-154-119-86-115-69-65-63-80-92-116-163-179-176-163-133-200-149-93-104-90-86-102-145-126-182-115-179-162-207-95-146-94-177-49-50-50-85-63-83-109-209-132-181-150431161-100-331-153-150-104-147-150-69-60-70-97-58-45-50-73-34-50-44113-17-6-90-288-72-76-137-108-106-197-153-459-97-101-80-436-306-291-207389-47179-157-58-24119-196148-167-94-47-353-184-155-38
Acquisitions Net 000-301000-241-416-612-189-50000-2-11-594-3-71-1,022-21-11-46413-7-50-170-2-404031-87-18-87-30-21-188-1-81-423-18015-27-46-989-880008500000001500-151-28000-369-600-29-38500-3210001170-112-50-6118-2000-40000000220810000000000000000
Purchases Of Investments 0000000000000000000000000000116163179016300-4-4-590-4-4-6-525-11-1-19-310-13-51900-47-1800-59-1300-346-1200671-73600564000-450-2050-3-2100-1000-500-9-1100000-37-44-530000000000000000
Sales Maturities Of Investments 00000000000000000000000000001427021001499317258610214512618211517902070146941770003900390000-312000-73354100-98000-264000-13000-141000000-8100-8600000374615924600000000000050000
Other Investing Activites 07412515030719107274-18282985401092764677751811822324666160-23-77163-6472-1551383348-89-12196111-10222153-8-119-15889-20355-93-144-139-291-6915-12797-91112-5171464-290-26569158140-356293-342-887924086-359528567027-14159-4748267110165-332120965559-16-2038-3311-168-938174-14422-367-9-3364-420151481731172369342
Investing Cash Flow 0-170-105-446-11232-92344-528-699-275154-85-161-103132386-32-42831064996-955-671804-384-102-70115-58-34-136-399-16775-180-12213477-127-172147-64-553-177-92-219-67-152-1,138-208-340-119-39-8116-9241-266-150-164-136-148-141-126223-56-485-460146-395-832722-27-437-8245-11733-53-19-5142-165-48-21-122-58-78-141-85-123-99100-113-121-42-432-28416-5-549-297-65-135-425-3386-132-272-16-46126-18652-624
Financing Activities:
Debt Repayment 0-10-10-1-683-1,200000-98-36400-650-5600-238-150-750-16-1080-340-226-117-520-90-801-290-6700-110-72-676-173-200-946-102-183-808-1,007-1-113-162-301-133-495-228-3-472-27-568-204-106-120-3-2200-475-250-650-425-6710-222-20-800-329-280-788-1,129-92-797-772-179-21-35-41-11-34-9-436-129-129-9-6-9-174-89-96-955-11-335-69-1,780-153-34-178-38-54-226-200-6-37-12-167-29-1,172-26-162-154-54-53
Common Stock Issued 000-1100000000000645000000000014014927917096153501012101118910319334917334118999248103-455179108001000510000004960000000-10410400250001-10100111111130114299-11002112580340044225120235
Common Stock Repurchased 00-50100000000-220-147-87-1950000000000-12-44-81-81-345-199000000020148400951,056108372377-30052823-920400000100-28-37-350000150-150000000-1042360081300010000-121147118248-288497-597201-400000000000000000000
Dividends Paid 0-85-228-85-44-210000000-141-179-143-146-148-186-148-148-148-185-148-148-147-185-148-148-150-150-148-150-151-197-151-114-106-98-91-82-75-65-58-51-43-35-28-17-17-8-7-10-10-3-18-3-3-30-107-106-107-211-106-107-107-133-106-92-62-49-44-42-37-9-27-11-9-9-8-9-9-9-8-9-9-9-77-77-68-62-55-52-51-51-51-51-48-6900000000000000000000
Other Financing Activities 0-2-30-29-10-104160138-11-81,455-7571,492-55-17-202-75-1-8493046-43-6733-2-2-3-1-11-7609-218-9-2377-1-4-2-3-11-6-4-11-55421841710-1613-12585712022-6-18323214101,0215310760012098-1430461913672384485-165332-52-214-8-4647280-2-6-7289-27478-131968-3-53362,015-11-15174616-6959-1-167425681,0632517771215
Financing Cash Flow 0-88-308-115-44-22-693-7840138-11-1061,069-8981,166-935231-350-261-387-306-174119-158-299-153208-248-162-475-152-344-111-212-198-161-105-185-775113-152-788334-130219-899505259-186413142291-102-125-407522-458650-16-25-135140-264-258-143-747463-78-13531651-26-56-336172-110-128283-321118144-35-41-70-16-50-22134-46-5142181-59-1-120-203-3853-114266236-164-49-2579-59-129389-43625926241-107416-145-42197
Other Information:
Effect Of Forex Changes On Cash 0111-3-210-220302-82-210-10-3-1-1104-41-14-1-6-1-7-3-711-53-500000000000000000000000000000000000000000000096-96201000000000369212-123-94398177-384533215-13692285-839-145156-13832-16
Net Change In Cash 287255-104-200189455-523-226-412-550-335-92835-1,2291,212-46590536-482281629326-5891371342543732743213-263-223-199297-5348-469507-39-682658163-211-847486302-110480-959275-333-74-397623-32769314514-11188-171-7162-674807141-30143297-218-2-18524230-454245-238217235-1-48-33151-98-11266-131306-2011253329-151-13-2026-152266236-164-49-2579-59-129389-43625926241-107416-145-42197
Cash At End Of Period 2871,0257708741,0748854309531,1791,5912,1412,4762,5681,7332,9621,7502,2151,3101,2741,7561,4758465201,1099728385843723402662342392652624856843874403928613543931,0754172544651,3128265246341541,1138381,1711,2451,6421,0191,3466535084945053174885594971,17136422352448118440240458934731777152676454731231336139424334135286217-89313188155126277290310284266236-164462-2579-59575389-436226026241-1079916-145-42300