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DFH Dream Finders Homes

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  • 22.550
  • -0.450-1.96%
Trading Apr 29 12:39 ET
2.11BMarket Cap6.75P/E (TTM)

Dream Finders Homes Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-44.47%274.38M
-44.47%274.38M
-37.93%204.91M
-6.06%274.8M
-10.18%239.43M
35.56%494.15M
35.56%494.15M
166.90%330.13M
247.82%292.51M
166.20%266.57M
-Cash and cash equivalents
-44.47%274.38M
-44.47%274.38M
-37.93%204.91M
-6.06%274.8M
-10.18%239.43M
35.56%494.15M
35.56%494.15M
166.90%330.13M
247.82%292.51M
166.20%266.57M
Receivables
10.53%34.13M
10.53%34.13M
-9.34%30.2M
4.99%33M
-15.94%28.21M
-29.01%30.87M
-29.01%30.87M
-12.16%33.32M
3.81%31.43M
0.09%33.56M
-Accounts receivable
10.53%34.13M
10.53%34.13M
-9.34%30.2M
4.99%33M
-15.94%28.21M
-29.01%30.87M
-29.01%30.87M
-12.16%33.32M
3.81%31.43M
0.09%33.56M
Inventory
19.10%1.72B
19.10%1.72B
39.78%2.06B
33.89%1.9B
20.81%1.73B
4.50%1.44B
4.50%1.44B
-2.57%1.47B
4.52%1.42B
16.46%1.43B
Restricted cash
20.49%65.44M
20.49%65.44M
-15.77%27.94M
-34.00%21.83M
-8.06%28.39M
77.49%54.31M
77.49%54.31M
-12.80%33.17M
-26.97%33.08M
-49.27%30.88M
Total current assets
18.48%2.39B
18.48%2.39B
33.70%2.5B
25.52%2.23B
14.93%2.03B
11.16%2.02B
11.16%2.02B
9.23%1.87B
17.06%1.77B
23.78%1.77B
Non current assets
Net PPE
82.78%501.79M
82.78%501.79M
52.09%411.38M
18.28%328.19M
1.11%296.34M
-11.06%274.53M
-11.06%274.53M
-16.25%270.48M
-13.30%277.48M
-5.01%293.09M
-Gross PPE
79.36%525.77M
79.36%525.77M
52.09%411.38M
18.28%328.19M
1.11%296.34M
-9.67%293.14M
-9.67%293.14M
-16.25%270.48M
-13.30%277.48M
-5.01%293.09M
-Accumulated depreciation
-28.86%-23.98M
-28.86%-23.98M
----
----
----
-17.56%-18.61M
-17.56%-18.61M
----
----
----
Goodwill and other intangible assets
74.39%300.31M
74.39%300.31M
74.39%300.31M
74.39%300.31M
77.15%305.07M
0.00%172.21M
0.00%172.21M
-3.40%172.21M
-3.80%172.21M
-4.35%172.21M
-Goodwill
74.39%300.31M
74.39%300.31M
74.39%300.31M
74.39%300.31M
77.15%305.07M
0.00%172.21M
0.00%172.21M
0.00%172.21M
0.16%172.21M
0.16%172.21M
Investments and advances
-25.45%11.45M
-25.45%11.45M
-54.13%6.56M
47.38%20.56M
31.07%17.69M
9.68%15.36M
9.68%15.36M
24.97%14.3M
-1.69%13.95M
-6.80%13.5M
Other non current assets
51.55%122.39M
51.55%122.39M
86.76%105.58M
116.62%108.99M
6.52%68.32M
35.87%80.76M
35.87%80.76M
0.94%56.53M
-36.27%50.32M
11.73%64.13M
Total non current assets
72.41%935.95M
72.41%935.95M
60.43%823.83M
47.50%758.05M
26.61%687.41M
-2.07%542.86M
-2.07%542.86M
-10.66%513.52M
-13.93%513.95M
-4.05%542.92M
Total assets
29.90%3.33B
29.90%3.33B
39.45%3.32B
30.46%2.99B
17.68%2.72B
8.07%2.56B
8.07%2.56B
4.23%2.38B
8.30%2.29B
15.88%2.31B
Liabilities
Current liabilities
Payables
9.71%147.14M
9.71%147.14M
23.21%168.98M
45.63%180.86M
7.22%144.47M
-0.44%134.12M
-0.44%134.12M
-7.03%137.15M
-4.56%124.19M
-1.41%134.74M
-accounts payable
9.71%147.14M
9.71%147.14M
23.21%168.98M
45.63%180.86M
7.22%144.47M
-0.44%134.12M
-0.44%134.12M
-7.03%137.15M
-4.56%124.19M
-1.41%134.74M
Current accrued expenses
26.97%263.32M
26.97%263.32M
51.86%186.67M
102.18%181.67M
9.47%113.81M
12.68%207.39M
12.68%207.39M
-7.80%122.92M
-29.15%89.85M
-18.08%103.96M
Current debt and capital lease obligation
86.85%991M
86.85%991M
109.06%1.16B
1.74%890.88M
-22.46%710.29M
-45.11%530.38M
-45.11%530.38M
-43.02%555.51M
0.08%875.67M
18.96%915.99M
-Current debt
86.85%991M
86.85%991M
109.06%1.16B
1.74%890.88M
-22.46%710.29M
-45.11%530.38M
-45.11%530.38M
-43.02%555.51M
0.08%875.67M
18.96%915.99M
Current deferred liabilities
-27.22%125.6M
-27.22%125.6M
-20.39%130.2M
-20.95%129.04M
2.07%169.29M
18.48%172.57M
18.48%172.57M
-4.24%163.54M
-14.51%163.24M
-19.51%165.86M
Current liabilities
46.21%1.53B
46.21%1.53B
68.23%1.65B
10.34%1.38B
-13.84%1.14B
-26.99%1.04B
-26.99%1.04B
-31.37%979.13M
-5.29%1.25B
6.53%1.32B
Non current liabilities
Long term debt and capital lease obligation
-0.58%313.2M
-0.58%313.2M
-0.57%314.23M
1,306.64%313.68M
1,223.78%315.09M
1,177.45%315.03M
1,177.45%315.03M
1,112.12%316.04M
-17.99%22.3M
-17.33%23.8M
-Long term debt
0.38%295.05M
0.38%295.05M
0.38%294.71M
--294.56M
--294.24M
--293.92M
--293.92M
20,289.17%293.6M
----
----
-Long term capital lease obligation
-14.05%18.15M
-14.05%18.15M
-13.01%19.52M
-14.28%19.12M
-12.44%20.84M
-14.38%21.11M
-14.38%21.11M
-8.93%22.43M
-12.98%22.3M
-12.06%23.8M
Other non current liabilities
-41.75%68.03M
-41.75%68.03M
-28.51%73.5M
-27.76%67.55M
-0.89%112.96M
1.45%116.8M
1.45%116.8M
-13.01%102.81M
-19.09%93.5M
-11.14%113.97M
Total non current liabilities
-11.72%381.23M
-11.72%381.23M
-7.43%387.73M
229.21%381.23M
210.70%428.04M
208.91%431.83M
208.91%431.83M
190.33%418.85M
-61.19%115.8M
-55.91%137.77M
Total liabilities
29.26%1.91B
29.26%1.91B
45.56%2.03B
28.85%1.76B
7.38%1.57B
-6.00%1.48B
-6.00%1.48B
-11.01%1.4B
-15.57%1.37B
-6.04%1.46B
Shareholders'equity
Share capital
0.00%149.44M
0.00%149.44M
0.00%149.44M
-5.07%149.44M
-4.93%149.44M
-4.80%149.43M
-4.80%149.43M
-4.67%149.43M
16,917.30%157.41M
16,893.30%157.19M
-common stock
0.64%937K
0.64%937K
0.64%937K
0.64%937K
0.75%936K
0.43%931K
0.43%931K
0.65%931K
0.65%931K
0.43%929K
-Preferred stock
0.00%148.5M
0.00%148.5M
0.00%148.5M
-5.10%148.5M
-4.97%148.5M
-4.84%148.5M
-4.84%148.5M
-4.70%148.5M
--156.48M
--156.26M
Retained earnings
49.64%970.25M
49.64%970.25M
53.57%844.38M
63.03%777.1M
70.00%699.53M
77.16%648.41M
77.16%648.41M
94.07%549.84M
119.31%476.66M
159.44%411.49M
Paid-in capital
2.30%281.56M
2.30%281.56M
1.84%276.43M
0.14%271.3M
0.40%268.24M
3.96%275.24M
3.96%275.24M
3.29%271.43M
3.71%270.91M
3.03%267.19M
Less: Treasury stock
--7.83M
--7.83M
--6.67M
--1.85M
----
--0
--0
----
----
----
Total stockholders'equity
29.85%1.39B
29.85%1.39B
30.17%1.26B
32.16%1.2B
33.66%1.12B
36.23%1.07B
36.23%1.07B
38.11%970.7M
88.74%904.98M
99.56%835.87M
Noncontrolling interests
106.17%26.94M
106.17%26.94M
70.01%26.14M
76.17%25.55M
131.56%33.83M
0.74%13.07M
0.74%13.07M
13.82%15.38M
20.28%14.5M
-32.09%14.61M
Total equity
30.77%1.42B
30.77%1.42B
30.79%1.29B
32.85%1.22B
35.34%1.15B
35.65%1.09B
35.65%1.09B
37.65%986.07M
87.06%919.48M
93.13%850.48M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -44.47%274.38M-44.47%274.38M-37.93%204.91M-6.06%274.8M-10.18%239.43M35.56%494.15M35.56%494.15M166.90%330.13M247.82%292.51M166.20%266.57M
-Cash and cash equivalents -44.47%274.38M-44.47%274.38M-37.93%204.91M-6.06%274.8M-10.18%239.43M35.56%494.15M35.56%494.15M166.90%330.13M247.82%292.51M166.20%266.57M
Receivables 10.53%34.13M10.53%34.13M-9.34%30.2M4.99%33M-15.94%28.21M-29.01%30.87M-29.01%30.87M-12.16%33.32M3.81%31.43M0.09%33.56M
-Accounts receivable 10.53%34.13M10.53%34.13M-9.34%30.2M4.99%33M-15.94%28.21M-29.01%30.87M-29.01%30.87M-12.16%33.32M3.81%31.43M0.09%33.56M
Inventory 19.10%1.72B19.10%1.72B39.78%2.06B33.89%1.9B20.81%1.73B4.50%1.44B4.50%1.44B-2.57%1.47B4.52%1.42B16.46%1.43B
Restricted cash 20.49%65.44M20.49%65.44M-15.77%27.94M-34.00%21.83M-8.06%28.39M77.49%54.31M77.49%54.31M-12.80%33.17M-26.97%33.08M-49.27%30.88M
Total current assets 18.48%2.39B18.48%2.39B33.70%2.5B25.52%2.23B14.93%2.03B11.16%2.02B11.16%2.02B9.23%1.87B17.06%1.77B23.78%1.77B
Non current assets
Net PPE 82.78%501.79M82.78%501.79M52.09%411.38M18.28%328.19M1.11%296.34M-11.06%274.53M-11.06%274.53M-16.25%270.48M-13.30%277.48M-5.01%293.09M
-Gross PPE 79.36%525.77M79.36%525.77M52.09%411.38M18.28%328.19M1.11%296.34M-9.67%293.14M-9.67%293.14M-16.25%270.48M-13.30%277.48M-5.01%293.09M
-Accumulated depreciation -28.86%-23.98M-28.86%-23.98M-------------17.56%-18.61M-17.56%-18.61M------------
Goodwill and other intangible assets 74.39%300.31M74.39%300.31M74.39%300.31M74.39%300.31M77.15%305.07M0.00%172.21M0.00%172.21M-3.40%172.21M-3.80%172.21M-4.35%172.21M
-Goodwill 74.39%300.31M74.39%300.31M74.39%300.31M74.39%300.31M77.15%305.07M0.00%172.21M0.00%172.21M0.00%172.21M0.16%172.21M0.16%172.21M
Investments and advances -25.45%11.45M-25.45%11.45M-54.13%6.56M47.38%20.56M31.07%17.69M9.68%15.36M9.68%15.36M24.97%14.3M-1.69%13.95M-6.80%13.5M
Other non current assets 51.55%122.39M51.55%122.39M86.76%105.58M116.62%108.99M6.52%68.32M35.87%80.76M35.87%80.76M0.94%56.53M-36.27%50.32M11.73%64.13M
Total non current assets 72.41%935.95M72.41%935.95M60.43%823.83M47.50%758.05M26.61%687.41M-2.07%542.86M-2.07%542.86M-10.66%513.52M-13.93%513.95M-4.05%542.92M
Total assets 29.90%3.33B29.90%3.33B39.45%3.32B30.46%2.99B17.68%2.72B8.07%2.56B8.07%2.56B4.23%2.38B8.30%2.29B15.88%2.31B
Liabilities
Current liabilities
Payables 9.71%147.14M9.71%147.14M23.21%168.98M45.63%180.86M7.22%144.47M-0.44%134.12M-0.44%134.12M-7.03%137.15M-4.56%124.19M-1.41%134.74M
-accounts payable 9.71%147.14M9.71%147.14M23.21%168.98M45.63%180.86M7.22%144.47M-0.44%134.12M-0.44%134.12M-7.03%137.15M-4.56%124.19M-1.41%134.74M
Current accrued expenses 26.97%263.32M26.97%263.32M51.86%186.67M102.18%181.67M9.47%113.81M12.68%207.39M12.68%207.39M-7.80%122.92M-29.15%89.85M-18.08%103.96M
Current debt and capital lease obligation 86.85%991M86.85%991M109.06%1.16B1.74%890.88M-22.46%710.29M-45.11%530.38M-45.11%530.38M-43.02%555.51M0.08%875.67M18.96%915.99M
-Current debt 86.85%991M86.85%991M109.06%1.16B1.74%890.88M-22.46%710.29M-45.11%530.38M-45.11%530.38M-43.02%555.51M0.08%875.67M18.96%915.99M
Current deferred liabilities -27.22%125.6M-27.22%125.6M-20.39%130.2M-20.95%129.04M2.07%169.29M18.48%172.57M18.48%172.57M-4.24%163.54M-14.51%163.24M-19.51%165.86M
Current liabilities 46.21%1.53B46.21%1.53B68.23%1.65B10.34%1.38B-13.84%1.14B-26.99%1.04B-26.99%1.04B-31.37%979.13M-5.29%1.25B6.53%1.32B
Non current liabilities
Long term debt and capital lease obligation -0.58%313.2M-0.58%313.2M-0.57%314.23M1,306.64%313.68M1,223.78%315.09M1,177.45%315.03M1,177.45%315.03M1,112.12%316.04M-17.99%22.3M-17.33%23.8M
-Long term debt 0.38%295.05M0.38%295.05M0.38%294.71M--294.56M--294.24M--293.92M--293.92M20,289.17%293.6M--------
-Long term capital lease obligation -14.05%18.15M-14.05%18.15M-13.01%19.52M-14.28%19.12M-12.44%20.84M-14.38%21.11M-14.38%21.11M-8.93%22.43M-12.98%22.3M-12.06%23.8M
Other non current liabilities -41.75%68.03M-41.75%68.03M-28.51%73.5M-27.76%67.55M-0.89%112.96M1.45%116.8M1.45%116.8M-13.01%102.81M-19.09%93.5M-11.14%113.97M
Total non current liabilities -11.72%381.23M-11.72%381.23M-7.43%387.73M229.21%381.23M210.70%428.04M208.91%431.83M208.91%431.83M190.33%418.85M-61.19%115.8M-55.91%137.77M
Total liabilities 29.26%1.91B29.26%1.91B45.56%2.03B28.85%1.76B7.38%1.57B-6.00%1.48B-6.00%1.48B-11.01%1.4B-15.57%1.37B-6.04%1.46B
Shareholders'equity
Share capital 0.00%149.44M0.00%149.44M0.00%149.44M-5.07%149.44M-4.93%149.44M-4.80%149.43M-4.80%149.43M-4.67%149.43M16,917.30%157.41M16,893.30%157.19M
-common stock 0.64%937K0.64%937K0.64%937K0.64%937K0.75%936K0.43%931K0.43%931K0.65%931K0.65%931K0.43%929K
-Preferred stock 0.00%148.5M0.00%148.5M0.00%148.5M-5.10%148.5M-4.97%148.5M-4.84%148.5M-4.84%148.5M-4.70%148.5M--156.48M--156.26M
Retained earnings 49.64%970.25M49.64%970.25M53.57%844.38M63.03%777.1M70.00%699.53M77.16%648.41M77.16%648.41M94.07%549.84M119.31%476.66M159.44%411.49M
Paid-in capital 2.30%281.56M2.30%281.56M1.84%276.43M0.14%271.3M0.40%268.24M3.96%275.24M3.96%275.24M3.29%271.43M3.71%270.91M3.03%267.19M
Less: Treasury stock --7.83M--7.83M--6.67M--1.85M------0--0------------
Total stockholders'equity 29.85%1.39B29.85%1.39B30.17%1.26B32.16%1.2B33.66%1.12B36.23%1.07B36.23%1.07B38.11%970.7M88.74%904.98M99.56%835.87M
Noncontrolling interests 106.17%26.94M106.17%26.94M70.01%26.14M76.17%25.55M131.56%33.83M0.74%13.07M0.74%13.07M13.82%15.38M20.28%14.5M-32.09%14.61M
Total equity 30.77%1.42B30.77%1.42B30.79%1.29B32.85%1.22B35.34%1.15B35.65%1.09B35.65%1.09B37.65%986.07M87.06%919.48M93.13%850.48M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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