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HCI Group
HCI
Medical costs
Segments
By segment
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Insurance Operation
$73.56M
+3.9%
Reciprocal Exchange Operation
$8.93M
+222%
Corporate And Other
$0
—
Real Estate Operations
$0
—
Other financials
Income statement
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Revenue
$242.9M
+12.2%
Net income
$73.4M
+5.3%
EPS (diluted)
$5.45
+1.9%
Balance sheet
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Cash & equivalents
$1.0B
+34.4%
Total debt
$997.0K
-20.2%
Total equity
$1.1B
+108%
Total assets
$2.6B
+13.2%
Cash flow
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Operating cash flow
$148.8M
-8.1%
CapEx
$335.0K
-80.7%
Free cash flow
$148.5M
-7.4%
Valuation
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Market cap
$2.23B
+25.0%
Profitability
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Net margin
33.8%
+16.2pp
FCF margin
46.3%
+1.9pp
Returns & leverage
See full
Return on equity
38.8%
+9.8pp
Debt / equity
0×
0.0×