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Key Metrics
Market Cap
Total Shares Outstanding
Book Value
PE Ratio
PS Ratio
PB Ratio
Forward PE Ratio
ROIC
Return on Aseets
Return on Equity
Dividend
Dividend Yield
Balancesheet Metrics
Total Assets 213.67M
Total Liability 273.64M
Assets-to-Libability Ratio 0.78
Total Current Assets 163.61M
Total Current Liability 86.21M
Current Ratio 1.9
Quick Ratio 3.45
Debt to Equity Ratio -2.84
Income Statement Metrics
Net Income
EPS
EBITA
Gross Profit
Gross Profit Margin
Operating Margin
Net Profit Margin
Price Metrics
5 Days MA
10 Days MA
20 Days MA
50 Days MA
200 Days MA
52 Weeks High
52 Weeks low
All Time High
RSI
MACD
Share Stats
Shares Float
Shares Short
% Short
% Insider
% Institutions
News

Profile

Doma Holdings Inc (DOMA)

Doma Holdings Inc. issues residential and commercial title insurance for purchase and refinance transactions in the United States. It operates through two segments, Underwriting; and Corporate and Other. The company offers title insurance underwriting, including policies referred to through its third-party agents' channel; and other insurance services for the residential real estate market. It also provides title, escrow, and settlement services for residential refinance transactions through its direct agents; and is involved in investing activities for its investment portfolio. The company serves homeowners, lenders, title agents, and real estate professionals. Doma Holdings Inc. was founded in 2016 and is headquartered in San Francisco, California.

Exchange: NYSE

IPO Date: 7/29/2021

Sector: Financial Services

Industry: Insurance - Property & Casualty

Employees: 239

Address: 101 Mission Street, San Francisco, CA, United States, 94105

https://www.doma.com

&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202403/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/2022Totals
Assets
213.67K223.20K240.30K263.18K291.27K338.22K378.51K489.20K567.08K614.38K5.76M
Current Assets
163.61K87.35K95.62K169.10K170.04K159.46K169.35K259.28K302.56K346.70K3.13M
Cash And Short Term Investments
109.10K106.61K71.17K132.40K134.63K140.12K136.70K233.98K276.31K319.44K2.69M
Net Receivables
23.41K21.94K-26.87K25.01K9.51K21.59K10.77K14.04K13.64K242.67K
Inventory
-134.19K-87.35K--4.93K2.89K2.93K----210.78K
Other Current Assets
163.61K87.35K95.62K-5.47K6.94K8.12K14.52K12.21K13.63K394.07K
Non Current Assets
50.06K135.85K144.68K94.07K121.22K178.76K209.16K229.93K264.52K267.68K2.63M
Property Plant Equipment
----36.50K38.41K39.38K63.56K101.41K52.80K509.55K
Long Term Investments
9.17K21.83K-24.24K98.64K120.68K90.33K94.34K102.73K63.88K1.53M
Non Currrent Assets Other
-34.96K25.87K83.43K6.84K-41.62K34.10K-90.63K-46.76K-52.76K-63.56K-111.93K
Liabilities
273.64K264.88K266.21K273.46K280.61K292.34K296.72K304.01K304.80K302.40K3.90M
Current Liabilities
86.21K89.92K96.39K181.73K159.85K165.68K186.59K154.82K151.37K148.75K1.49M
Accounts Payable
5.25K1.70K1.80K1.46K2.13K2.92K2.91K3.44K3.31K3.89K57.65K
Short Long Term Debt
---155.48K153.16K158.21K154.79K151.38K148.06K144.86K1.35M
Other Current Liabilities
77.70K88.23K94.59K12.41K4.56K4.55K28.89K-151.38K-148.06K-144.86K-23.37K
Non Current Liabilities
187.43K174.95K169.82K91.73K120.76K126.66K110.13K149.19K153.43K153.65K2.42M
Long Term Debt
----153.16K158.21K154.79K151.38K148.06K144.86K1.19M
Other Liabilities
-------84.10K85.64K84.45K613.42K
Stockholder Equity
-59.97K-41.68K-25.91K-10.29K10.65K45.88K81.79K185.19K262.28K311.98K1.86M
Preferred Stock Equity
-----------
Liabilities And Stockholders Equity
213.67K223.20K240.30K263.18K291.27K338.22K378.51K489.20K567.08K614.38K5.40M
Common Equity
----13333333333235.05515
Retained Earnings
-----572.79K-536.91K-494.79K-385.37K-301.26K-242.60K-2.91M
Totals1.35M1.42M1.57M1.69M1.45M1.78M1.87M2.48M2.96M3.15M3.76M3.93M2.66M468.17K1.35M-1.27K-983.69831.90M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/202012/31/201912/31/2018Totals
Assets
247.75K378.51K655.92K363.03K165.793196.2271.65M
Current Assets
165.78K169.35K417.04K145.67K26.79492.804897.96K
Cash And Short Term Investments
105.36K136.70K379.70K119.95K26.79492.804741.83K
Net Receivables
24.50K21.59K17.52K18.22K12.83K-94.66K
Inventory
-95.62K2.93K4.13K6.80K---81.76K
Other Current Assets
165.78K8.12K15.69K695.358.58K-198.88K
Non Current Assets
81.97K209.16K238.88K217.37K138.998103.423747.61K
Property Plant Equipment
-39.38K59.91K35.67K24.58K-159.54K
Long Term Investments
36.79K90.33K69.51K345.01K--541.64K
Non Currrent Assets Other
-23.52K-90.63K15.69K345.01K-140.96K103.423105.70K
Liabilities
273.66K296.72K305.00K175.00K151.935178.61.05M
Current Liabilities
93.19K186.59K202.85K6.63K151.935178.6489.58K
Accounts Payable
1.80K2.91K6.93K6.63K5.70K-23.96K
Short Long Term Debt
-154.79K141.77K---296.56K
Other Current Liabilities
85.33K28.89K54.15K0.000121.93528.6168.40K
Non Current Liabilities
180.47K110.13K102.15K168.38K87.50K-648.62K
Long Term Debt
-154.79K141.77K---296.56K
Other Liabilities
--102.15K69.80K62.76K-234.71K
Stockholder Equity
-25.91K81.79K350.92K188.03K13.85817.627594.87K
Preferred Stock Equity
-------
Liabilities And Stockholders Equity
247.75K378.51K655.92K363.03K165.793196.2271.65M
Common Equity
-33330.329150.8630.86368.05515
Retained Earnings
--494.79K-192.18K-8.66K---695.62K
Totals1.57M1.87M3.75M2.57M61.84K1.19K9.81M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202203/31/202212/31/202109/30/202106/30/202103/31/202112/31/202009/30/202006/30/202003/31/2020Totals
Revenue
123.74K112.21K137.68K162.58K129.99K127.80K117.51K121.07K--1.03M
Cost Of Revenue
73.23K77.79K71.33K91.60K65.18K70.34K64.01K67.02K--580.51K
Gross Profit
50.51K34.41K66.35K70.99K64.81K57.46K53.50K54.05K--452.07K
Operating Expenses
182.96K171.74K116.31K96.08K83.44K-6.19K124.70K56.27K0.277-825.32K
Selling General Administrative
96.87K100.55K78.31K62.41K53.95K43.46K38.87K36.20K0.277-510.62K
Research Development
-----------
Other Operating Expenses
256.20K249.53K187.64K187.67K148.62K-7.33K-123.30K0.27710.64K1.16M
Operating Income
-59.22K-59.53K-49.96K-25.09K-18.64K-7.19K-7.19K-2.23K-0.277--229.04K
Net Interest Income
-4.49K-4.21K-4.52K-4.53K-4.45K-3.36K-1.15K-1.19K---27.90K
Interest Income
-----------
Interest Expense
4.49K4.21K4.52K4.53K4.45K3.36K1.15K1.19K--27.90K
Other Income Expense Net
7049.69K6.65K-9.01K-4.45K7.04K-1.19K--11.82K
Income Before Tax
-58.52K-49.84K-43.31K-34.10K-23.09K-144.917-8.34K-3.42K-0.277--220.76K
Tax Provision
136185421170211125223204--1.68K
NetIncome
-58.65K-50.03K-43.73K-34.27K-23.30K-144.917-8.56K-3.62K-0.277--222.31K
NetIncome Applicable To Common Shares
-58.65K-50.03K-43.73K-34.27K-330.8316.19K--3.62K-6.33K-16.59K-207.36K
Ebit
-54.03K-45.63K-38.79K-29.57K-858.357-1.14K--2.23K-4.97K-14.30K-191.51K
Basic EPS
--0.15-0.13-0.11-0.010.14-----0.26
Totals495.29K501.05K445.16K505.18K475.54K290.28K374.72K444.20K-11.30K-20.25K-3.50M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202112/31/202012/31/201912/31/2018Totals
Revenue
558.04K409.81K358.08K-1.33M
Cost Of Revenue
298.44K220.14K178.26K-696.85K
Gross Profit
259.60K189.67K179.82K-629.09K
Operating Expenses
361.56K8.65K3.7690.226370.21K
Selling General Administrative
238.13K143.53K3.7690.226381.66K
Research Development
-----
Other Operating Expenses
660.00K7.61K3.7690.226667.62K
Operating Income
-101.96K-28.68K-17.47K-0.226-148.11K
Net Interest Income
-16.86K-5.58K-9.28K--31.72K
Interest Income
-----
Interest Expense
16.86K5.58K9.28K-31.72K
Other Income Expense Net
-10.17K28.54K17.46K-35.83K
Income Before Tax
-112.13K-144.917-3.769-0.226-112.28K
Tax Provision
927843387-2.16K
NetIncome
-113.06K-144.917-3.769-0.226-113.20K
NetIncome Applicable To Common Shares
-113.06K-8.65K-27.14K-12.05K-160.89K
Ebit
-95.27K-1.03K-17.47K-10.38K-124.15K
Basic EPS
-0.1----0.1
Totals1.83M970.15K671.95K-22.43K3.45M
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;06/30/202403/31/202412/31/202309/30/202306/30/202303/31/202312/31/202209/30/202206/30/202203/31/2022Totals
Cash From Operating Activities
-6.80K-13.65K-8.65K-18.38K-25.19K-23.88K-48.22K-38.61K-44.12K-56.47K-315.04K
Net Income
-19.01K-20.55K-20.79K-25.63K-35.88K-42.12K-109.42K-84.11K-58.65K-50.03K-596.40K
Depreciation
3.07K3.00K3.02K3.02K3.07K3.08K4.79K4.25K3.75K3.24K48.44K
Extraordinary Items
-----------
Change Receivables
-----4.59K11.58K-11.19K1.94K-8172.64K-2.58K
Change To Inventory
--2.06K---------2.06K
Change To Liabilities
-----5.31K-5.92K-4.41K-1.54K275-20.32K-16.52K
Change To Net Income
----13.03K9.11K71.39K43.33K6.13K536175.79K
ChangeToOperatingActivities
-----1.42K-1.42K-2.25K-4.92K2.74K-13.01K-3.98K
Cash flows From Investing Activities
----32.72K26.53K-59.79K-1.48K-49.07K-5.04K-158.10K
Capital Expenditures
-1.34K-1.49K-1.32K-1.74K-2.84K-2.77K-5.24K-9.12K-10.43K-10.13K-87.72K
Other Cashflows From Investing Activities
----13.82K276132-19218712417.32K
Cash From Financing Activities
-2.39K-5.19K-5.19K-1.26K-9.21K18223156271-97717.15K
Net Borrowings
-----9.21K-9.21K-9.21K---28.17K
Sale Purchase Of Stock
------23156271-97-62.37K
Dividends Paid
-15.88K---194128316-187-12416.21K
Other Cashflows From Financing Activities
-2.17K7.94K--1.26K-9.21K3761.87K1.30K466909343.84K
Cash And Cash Equivalents Changes
-----1.67K2.83K-107.98K-39.93K-92.92K-61.61K-29.48K
Totals-28.64K-16.13K-32.93K-45.24K-41.88K-31.16K-279.35K-128.46K-242.11K-209.47K-89.02K671.89K-44.51K669.77K-3.24K-68-20.64K-56.08K-41.35772.68K
&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;&ebsp;12/31/202312/31/202212/31/202112/31/202012/31/201912/31/2018Totals
Cash From Operating Activities
-76.09K-187.42K-56.33K-9.27K-3.12K-5.139-332.24K
Net Income
-95.29K-302.21K-113.06K-35.10K-27.14K-0.226-572.79K
Depreciation
12.18K16.02K10.32K5.82K1.88K1046.23K
Extraordinary Items
-------
Change Receivables
--7.43K-2.15K----9.58K
Change To Inventory
-13.78K------13.78K
Change To Liabilities
--25.99K18.05K113.526-5.05K1.06K-11.83K
Change To Net Income
-121.38K22.07K7.63K14.18K1.83K167.09K
ChangeToOperatingActivities
--12.77K22.00K2.87K11.45K47724.01K
Cash flows From Investing Activities
--115.38K-23.13K-345.00K61.60K-1.93K-423.84K
Capital Expenditures
-8.67K-34.91K-32.17K-17.01K-6.99K-29-99.78K
Other Cashflows From Investing Activities
-2512.97K---3.22K
Cash From Financing Activities
-15.48K353351.26K42.66K67.28K-25.325446.06K
Net Borrowings
--83.89K-150-9.37K7.50K81.87K
Sale Purchase Of Stock
-353-294.86K346.49K--51.99K
Dividends Paid
15.88K755153.29K---169.93K
Other Cashflows From Financing Activities
1841.11K239.99K-275.40K80.65K-25.32546.50K
Cash And Cash Equivalents Changes
--302.44K271.81K605.593---30.03K
Totals-181.06K-848.34K653.96K-275.76K185.37K8.86K-456.97K