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Hagerty HGTY Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$366.73M+22.7%$299M-10.1%$332.65M+0.6%$330.59M+15.5%$286.31M+23.0%
$154.36M+11.2%$138.82M-19.4%$172.26M-9.5%$190.29M+20.0%$158.6M+23.9%
$31.79M+156%$12.41M-12.4%$14.17M-20.0%$17.7M+22.8%$14.42M-22.0%
$900K-10.0%$1M-23.1%$1.3M-71.1%$4.5M+200%$1.5M-25.0%
$4.49M-75.4%$18.23M
$73.86M$106.85M0.0%$106.87M+14.1%$93.68M
$5.67M+0.9%$5.61M+19.3%$4.7M-3.6%$4.88M+21.1%$4.03M-16.5%
$40.41M+84.1%$21.95M-9.4%$24.22M-6.3%$25.85M-3.6%$26.81M+44.7%
$92.45M-48.8%$180.53M-21.8%$230.92M-7.6%$249.83M+42.3%$175.52M+14.2%
$16.56M+1.9%$16.25M-5.0%$17.11M-0.9%$17.26M-3.7%$17.92M-1.6%
$124.39M+3.3%$120.38M+5.0%$114.68M+5.1%$109.14M+4.8%$104.12M+6.6%
5.1%0.0%5.1%0.0%5.1%+0.1%5%0.0%5%0.0%
$114.15M0.0%$114.16M0.0%$114.15M0.0%$114.17M0.0%$114.13M0.0%
$89.13M+0.2%$88.92M+0.5%$88.45M+2.0%$86.73M-0.4%$87.12M-3.3%
$5.7M-75.7%$23.49M-48.1%$45.27M+107%$21.86M+18.7%$18.42M+2.0%
$228.39M+9.8%$207.99M+12.4%$185.03M+1.2%$182.75M+10.5%$165.45M-8.0%
$720.9M-1.4%$731.14M
$305.17M-56.2%$696.27M+153%$275.36M+4.5%$263.6M-0.1%$263.88M-54.3%
$555.9M-17.7%$675.3M+3.8%$650.62M+10.4%$589.12M+2.5%$574.8M-0.5%
$148.94M+30.8%$113.89M+13.8%$100.06M+18.4%$84.52M+15.5%$73.19M+28.5%
$47.8M+37.1%$34.87M
$143.55M-19.9%$179.22M-6.9%$192.5M+7.9%$178.43M+17.2%$152.27M-2.7%
$2.02B-3.3%$2.09B-2.7%$2.15B+5.5%$2.04B+12.4%$1.82B+6.3%
$43.89M-3.9%$45.68M+566%$6.86M+1.2%$6.78M+0.5%$6.75M+0.5%
$46.38M-0.1%$46.45M-8.4%$50.7M+254%$14.33M-3.4%$14.83M-68.6%
$508M+23.3%$412.06M-6.2%$439.4M+7.0%$410.5M+16.6%$352.16M-1.5%
$203.99M-22.8%$264.2M-4.5%$276.68M+6.8%$259.05M+2.8%$251.92M+156%
$228.61M+28.5%$177.91M+70.4%$104.39M-31.9%$153.38M+15.7%$132.6M+25.4%
$43.89M-3.9%$45.68M-3.6%$47.37M-0.6%$47.68M-2.1%$48.7M-2.4%
$106.76M+73.1%$61.68M+340%$14.02M+329%$3.27M+53.4%$2.13M-87.9%
$202.77M+20.1%$168.85M-39.0%$276.65M+6.8%$258.94M+2.8%$251.84M+49.5%
$1.29B-4.2%$1.35B-6.3%$1.44B+4.2%$1.38B+15.3%$1.2B+8.7%
$626.17M+0.5%$623.01M+0.1%$622.41M+2.9%$604.62M-0.4%$606.97M+0.5%
-$407.45M-1.1%-$402.96M+2.1%-$411.79M+4.8%-$432.63M+2.5%-$443.61M+1.9%
-$66K-105%$1.23M+23.1%$998K+281%$262K+158%-$455K+69.9%
$426.71M-2.8%$439.09M+4.9%$418.42M+3.1%$405.76M+9.7%$369.71M-0.9%
$218.68M-1.2%$221.32M+4.6%$211.65M+22.9%$172.28M+5.7%$162.94M+8.4%
$2.02B-3.3%$2.09B-2.7%$2.15B+5.5%$2.04B+12.4%$1.82B+6.3%
$0$0$0$0$0
$73.56M$106.6M-0.1%$106.67M+14.2%$93.42M
$73.56M$106.6M-0.1%$106.67M+14.2%$93.42M
$3.27M-93.1%$47.18M-16.2%$56.33M
$3.27M-93.1%$47.18M-16.2%$56.33M
$295.38M+314%$71.43M+159%$27.55M
$295.38M+314%$71.43M+159%$27.55M
$3.18M+378%$666K-16.9%$801K
$3.27M-93.1%$47.18M-16.2%$56.33M
$298.66M+152%$118.61M+41.4%$83.87M
$295.38M+314%$71.43M+159%$27.55M
$298.66M+152%$118.61M+41.4%$83.87M-85.8%$589.12M+2.5%$574.8M-0.5%
$39.94M-20.9%$50.5M
$148.94M+30.8%$113.89M+13.8%$100.06M+18.4%$84.52M+15.5%$73.19M+28.5%
$148.94M+30.8%$113.89M+13.8%$100.06M+18.4%$84.52M+15.5%$73.19M+28.5%
$304.78M$271.63M+4.4%$260.3M-0.4%$261.47M
$188.56M$166.86M+10.7%$150.74M+2.4%$147.26M
$148.94M+30.8%$113.89M+13.8%$100.06M+18.4%$84.52M+15.5%$73.19M+28.5%
$9.3M-6.7%$9.97M+0.3%$9.94M+1.9%$9.76M+2.7%$9.5M+1.1%
$7.55M$5.39M+9.9%$4.91M+3.7%$4.73M
$8.69M
$213.51M+2.0%$209.3M+3.0%$203.13M+3.7%$195.87M+2.4%$191.25M+1.8%
$670.92M-2.5%$687.81M+7.0%$642.75M+10.1%$583.67M+2.3%$570.68M-1.4%
$39.06M-3.9%$40.66M-3.7%$42.23M-0.8%$42.55M-2.0%$43.43M-2.4%
$40.09M-6.8%$43.01M
$77.86M$77.19M+2.3%$75.47M-0.5%$75.86M
$89.13M+0.2%$88.92M+0.5%$88.45M+2.0%$86.73M-0.4%$87.12M-3.3%
$720.9M-1.4%$731.14M
$39.06M-3.9%$40.66M-3.7%$42.23M-0.8%$42.55M-2.0%$43.43M-2.4%
$228.39M+9.8%$207.99M+12.4%$185.03M+1.2%$182.75M+10.5%$165.45M-8.0%
$89.13M+0.2%$88.92M+0.5%$88.45M+2.0%$86.73M-0.4%$87.12M-3.3%
$39.06M-3.9%$40.66M-3.7%$42.23M-0.8%$42.55M-2.0%$43.43M-2.4%
$10.76M+6.1%$10.14M-3.8%$10.53M-0.1%$10.54M-0.3%$10.57M+2.5%
$85.85M-23.3%$111.95M-24.3%$147.87M+6.9%$138.35M+18.4%$116.88M+98.5%
$10.8M$10.8M0.0%$10.8M0.0%$10.8M
$50.75M+79.4%$28.29M
$1.87M-97.8%$86.17M$79.32M+2.5%
$14.37M-84.9%$94.93M
$202.77M+20.1%$168.85M-39.0%$276.65M+6.8%$258.94M+2.8%$251.84M+49.5%
$38.28M-3.9%$39.83M
$8.51M$8.52M+4.4%$8.16M+1.8%$8.01M
$6.66M$6.67M+6.1%$6.28M+1.9%$6.16M
$8.51M$8.52M+4.4%$8.16M+1.8%$8.01M
$8.44M$8.45M+4.6%$8.07M+1.3%$7.97M
$6.66M$6.67M+6.1%$6.28M+1.9%$6.16M
$6.65M$8.97M+4.0%$8.62M+2.7%$8.4M
$53.02M$57.69M-1.0%$58.3M-2.5%$59.81M
$9.13M$10.32M-2.8%$10.62M-4.4%$11.1M
$103.62M$99.03M+48.5%$66.7M-3.1%$68.87M
$367K
$447K-3.0%$461K-3.2%$476K-3.1%$491K-3.0%$506K-2.9%
$8.44M$8.45M+4.6%$8.07M+1.3%$7.97M
$5.37M$8.45M+4.6%$8.07M+1.3%$7.97M
$6.66M$6.67M+6.1%$6.28M+1.9%$6.16M
$5.37M
$17.38M
$17.38M
$272.5M+21.9%$223.59M-0.6%$224.88M+11.8%$201.06M+10.9%$181.3M+15.9%
$229.06M+28.4%$178.37M+0.2%$177.98M+1.1%$176.05M+20.0%$146.69M+38.0%
$200K$100K
$76K-84.9%$502K-29.9%$716K
20M20M0.0%20M0.0%20M
$298.66M+152%$118.61M+41.4%$83.87M
$88.65M+2.3%$86.62M+2.2%$84.72M+2.3%$82.81M-4.3%$86.54M+2.2%
$5.36M-41.2%$9.12M+5.2%$8.67M+28.9%$6.73M+16.6%$5.77M+139%
$3.18M+378%$666K-16.9%$801K-37.4%$1.28M-22.3%$1.65M-51.5%
$670.92M-2.5%$687.81M+7.0%$642.75M+10.1%$583.67M+2.3%$570.68M-1.4%
54.5%+2.7%51.8%-6.5%58.3%-0.9%59.2%-0.1%59.3%-0.2%
$3.18M+378%$666K-16.9%$801K-37.4%$1.28M-22.3%$1.65M-51.5%
$5.36M-41.2%$9.12M+5.2%$8.67M+28.9%$6.73M+16.6%$5.77M+139%
$670.92M-2.5%$687.81M+7.0%$642.75M+10.1%$583.67M+2.3%$570.68M-1.4%
$103.65M$97.66M+48.0%$65.97M-3.7%$68.53M
$103.62M$99.03M+48.5%$66.7M-3.1%$68.87M
$304.78M$271.63M+4.4%$260.3M-0.4%$261.47M
$305.17M$275.36M+4.5%$263.6M-0.1%$263.88M
$367K
$363K
$188.56M$166.86M+10.7%$150.74M+2.4%$147.26M
$73.56M$106.6M-0.1%$106.67M+14.2%$93.42M
$73.86M$106.85M0.0%$106.87M+14.1%$93.68M
$673.1M-3.3%$696.27M+7.0%$650.62M+10.4%$589.12M+2.5%$574.8M-0.5%
$9.3M-6.7%$9.97M+0.3%$9.94M+1.9%$9.76M+2.7%$9.5M+1.1%
$1.2M-14.3%$1.4M
$9.29M+16.1%$8M
$2.7M0.0%$2.7M0.0%$2.7M0.0%$2.7M+8.0%$2.5M0.0%
$4.5M-75.3%$18.2M-2.6%$18.69M+27.2%$14.69M+35.4%$10.85M-31.6%
$46.38M-0.1%$46.45M-8.4%$50.7M-0.5%$50.94M+7.0%$47.61M+0.8%
$229.06M+28.4%$178.37M+0.2%$177.98M+1.1%$176.05M+20.0%$146.69M+38.0%
$76K-84.9%$502K-29.9%$716K
$295.38M+314%$71.43M+159%$27.55M
$3.27M-93.1%$47.18M-16.2%$56.33M
$3.11M+1,795%$164K+92.9%$85K
$3.18M+378%$666K-16.9%$801K
$298.66M+152%$118.61M+41.4%$83.87M
$3.44M-7.3%$3.71M+12.9%$3.28M-10.2%$3.66M-8.9%$4.01M+15.0%
$5.7M-75.7%$23.49M-2.9%$24.19M+10.7%$21.86M+18.7%$18.42M+2.0%
$4.5M
$0-100%$34.87M+49.7%$23.3M+87.0%$12.46M+10.1%$11.31M-4.5%
$124.39M+3.3%$120.38M+5.0%$114.68M+5.1%$109.14M+4.8%$104.12M+6.6%
$22.92M$19.14M+10.6%$17.31M+10.8%$15.63M
$7.55M$5.39M+9.9%$4.91M+3.7%$4.73M
$2.75M
$18.58M$22.48M+8.2%$20.78M+8.8%$19.1M
$17.38M$13.17M+19.3%$11.04M+12.9%$9.77M
$8.69M
$900K-10.0%$1M-23.1%$1.3M-71.1%$4.5M+200%$1.5M-25.0%
$213.51M+2.0%$209.3M+3.0%$203.13M+3.7%$195.87M+2.4%$191.25M+1.8%
$53.02M$57.69M-1.0%$58.3M-2.5%$59.81M
$9.13M$10.32M-2.8%$10.62M-4.4%$11.1M
$10.8M$10.8M0.0%$10.8M0.0%$10.8M
$193.51M+18.6%$163.21M-37.8%$262.24M+8.9%$240.81M+3.0%$233.89M+43.7%
$262.54M+31.5%$199.63M+16.4%$171.54M+20.2%$142.72M+15.6%$123.49M+28.9%
$426.71M-2.8%$439.09M+4.9%$418.42M+3.1%$405.76M+9.7%$369.71M-0.9%
$700K$16.6M+2,271%$700K+250%$200K
330.0%30.0%3
$0.050.0%$0.050.0%$0.05+2.0%$0.050.0%$0.050.0%
$11.4M+114%$5.33M-6.5%$5.7M-47.8%$10.93M+36.3%$8.02M-15.3%
$20M$20M0.0%$20M0.0%$20M
$28.98M+40.0%$20.71M-5.7%$21.96M-12.5%$25.11M+13.0%$22.23M+10.4%
$57.67M+1.2%$56.97M+2.5%$55.59M+6.9%$52.02M+12.2%$46.38M+12.8%
$9.26M+64.1%$5.64M-60.8%$14.41M-20.6%$18.14M+1.1%$17.95M+211%
$11.86M-22.4%$15.3M+856%$1.6M-11.1%$1.8M-10.0%$2M-83.2%
220.0%20.0%2
$710.26M-16.3%$849M+0.3%$846.18M+6.9%$791.86M+6.3%$744.71M+3.8%
$142.96M+38.3%$103.34M
$38.3M-3.8%$39.8M+14.4%$34.8M+582%$5.1M+155%$2M-9.1%
85%85%0.0%85%0.0%85%
15%15%0.0%15%0.0%15%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
20M0.0%20M0.0%20M0.0%20M0.0%20M0.0%
8.5M0.0%8.5M0.0%8.5M0.0%8.5M0.0%8.5M0.0%
8.5M0.0%8.5M0.0%8.5M0.0%8.5M0.0%8.5M0.0%
$200K$100K
$190.09M$169.38M+11.5%$151.95M+2.4%$148.37M

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Questions, answered.

What are Hagerty's total assets?
Hagerty (HGTY) holds $2.0B in total assets, up 11.5% year over year.
How much debt does Hagerty have?
Hagerty carries $272.5M in total debt against $218.7M of shareholders' equity, a debt-to-equity ratio of 1.25.
How much cash does Hagerty have?
Hagerty holds $366.7M in cash and equivalents.
Can Hagerty cover its short-term obligations?
Its current ratio is 1.00 — current liabilities exceed current assets.
Where does Hagerty's balance sheet data come from?
Every line is extracted from Hagerty's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.