Healthier Choices Management Corp. (HCMC)

Stammdaten

Healthier Choices Management Corp. provides e-liquids, vaporizers, and related products. The company operates in two segments, Vapor and Grocery. It offers vaporizers, which are battery-powered products that enable users to inhale nicotine vapor; and Q-Cup, a product that enables consumers to vape concentrates either medicinally or recreationally. The company operates six retail vape stores in the Southeast region of the United States; Ada's Natural Market and Paradise Health & Nutrition grocery stores that offer fresh produce, bulk foods, vitamins and supplements, packaged groceries, meat and seafood, deli, baked goods, dairy products, frozen foods, health and beauty products, and natural household items; and Mother Earth's Storehouse stores, which provide organic and health foods, and vitamins. It also sells vitamins and supplements, as well as health, beauty, and personal care products through its thevitaminstore.com website and on amazon.com marketplace. The company was formerly known as Vapor Corp. and changed its name to Healthier Choices Management Corp. in March 2017. Healthier Choices Management Corp. is headquartered in Hollywood, Florida.

Unternehmen & Branche

NameHealthier Choices Management Corp.
TickerHCMC
CIK0000844856
BoerseUS
SektorConsumer Defensive
IndustrieGrocery Stores
SIC2100 · Tobacco Products

Wertpapier & Kennzahlen

CUSIP922099700
ISINUS9220997004
TypCommon Stock
Marktkapitalisierung26,4 Mio. USD
Beta-6,21
Dividendenrendite0,00 %

Externe Quellen: SEC EDGAR » · FMP-Profil » · Yahoo Finance »

Finanzkennzahlen (SEC XBRL)

PeriodeFilingUmsatzNettoergebnisEPSAktivaEigenkapital
2025-12-3110-K2,979-7,017,9451,467,870-1,233,494
2025-09-3010-Q199-2,076,1131,525,134-4,444,994
2025-06-3010-Q1,000-1,991,7971,537,603-3,491,464
2025-03-3110-Q1,780-2,183,6761,672,602-2,622,250
2024-12-3110-K501-11,890,8432,220,449-1,561,158
2024-09-3010-Q52-4,347,0313,784,648-520,253
2024-06-3010-Q174-2,506,6780.0027,612,3913,652,124
2024-03-3110-Q119-2,861,1470.0029,131,5265,023,720
2023-12-3110-K617-18,482,8800.0030,969,5796,758,116
2023-09-3010-Q12,704,600-2,990,9890.0037,098,35116,413,201
2023-06-3010-Q13,574,896-2,652,7550.0039,338,97518,277,440
2023-03-3110-Q13,559,744-1,907,3010.0052,358,77318,957,723
2022-12-3110-K29,267,003-7,217,6110.0055,255,03020,206,024
2022-09-3010-Q5,776,730-2,074,9860.0045,470,48622,612,997
2022-06-3010-Q6,132,060-1,345,5150.0033,832,19826,570,227
2022-03-3110-Q5,048,553-1,317,9150.0035,434,56527,915,742
2021-12-3110-K13,319,854-4,037,4590.0034,443,48729,233,657
2021-09-3010-Q3,269,508-1,049,8810.0036,614,83431,704,642
2021-06-3010-Q3,385,892179,6650.0037,953,45031,988,864
2021-03-3110-Q3,465,753-696,2580.0013,985,5378,048,041

Fondsaktivität (Vorquartalsvergleich)

Keine Fondsdaten für dieses Unternehmen vorhanden.

Insider-Transaktionen (12 Monate)

Keine Insider-Käufe/Verkäufe in den letzten 12 Monaten.

Top-Fondshalter

Hinweis: Keine aktuelleren Daten zu dieser Aktie verfuegbar. Stand der gezeigten 13F-Holdings: 31.03.2023. Letztes global veroeffentlichtes 13F-Quartal: 31.03.2026.

FondsAnteileWert (USD)Anteil (%)
MEEDER ASSET MANAGEMENT INC500,00050100.00

Hinweis

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