INNOVATE Share Holder Equity 2012-2026 | VATE

INNOVATE share holder equity from 2012 to 2026. Share holder equity can be defined as the sum of preferred and common equity items
Unlock Macrotrends Premium
40 years of data
Faster, ad-free pages
Unlimited data exports
Full-width charts
INNOVATE Annual Share Holder Equity
(Millions of US $)
2025 $-217
2024 $-143
2023 $-135
2022 $-73
2021 $-37
2020 $611
2019 $454
2018 $214
2017 $214
2016 $97
2015 $170
2014 $144
2013 $54
2012 $69
2011 $102
INNOVATE Quarterly Share Holder Equity
(Millions of US $)
2026-03-31 $-234
2025-12-31 $-217
2025-09-30 $-207
2025-06-30 $-189
2025-03-31 $-168
2024-12-31 $-143
2024-09-30 $-125
2024-06-30 $-110
2024-03-31 $-133
2023-12-31 $-135
2023-09-30 $-119
2023-06-30 $-111
2023-03-31 $-101
2022-12-31 $-73
2022-09-30 $-92
2022-06-30 $-66
2022-03-31 $-51
2021-12-31 $-37
2021-09-30 $-55
2021-06-30 $512
2021-03-31 $424
2020-12-31 $611
2020-09-30 $429
2020-06-30 $376
2020-03-31 $71
2019-12-31 $454
2019-09-30 $512
2019-06-30 $441
2019-03-31 $343
2018-12-31 $214
2018-09-30 $319
2018-06-30 $187
2018-03-31 $153
2017-12-31 $214
2017-09-30 $108
2017-06-30 $97
2017-03-31 $96
2016-12-31 $97
2016-09-30 $220
2016-06-30 $218
2016-03-31 $168
2015-12-31 $170
2015-09-30 $125
2015-06-30 $143
2015-03-31 $150
2014-12-31 $144
2014-09-30 $153
2014-06-30 $113
2014-03-31 $52
2013-12-31 $54
2013-09-30 $70
2013-06-30 $198
2013-03-31 $63
2012-12-31 $69
2012-09-30 $120
2012-06-30 $143
2012-03-31 $97
2011-12-31 $102
2011-09-30 $98
2011-06-30 $109
Sector Industry Market Cap Revenue
Multi-Sector Conglomerates Diversified Operations $0.117B $1.246B
INNOVATE Corp. is a portfolio of assets in areas of infrastructure, life sciences and spectrum. INNOVATE Corp., formerly known as HC2 Holdings Inc., is based in NEW YORK.
Stock Name Country Market Cap PE Ratio
Honeywell (HON) United States $149.409B 22.03
Hitachi (HTHIY) Japan $139.426B 20.57
Mitsubishi (MSBHF) Japan $136.806B 27.09
Mitsui (MITSY) Japan $114.545B 19.96
3M (MMM) United States $78.527B 18.65
Marubeni (MARUY) Japan $62.237B 18.19
Sumitomo (SSUMY) Japan $46.565B 12.56
Citic (CTPCY) Hong Kong, SAR China $46.544B 0.00
Swire Pacific (SWRAY) Hong Kong, SAR China $40.742B 0.00
Ck Hutchison Holdings (CKHUY) Hong Kong, SAR China $31.138B 0.00
Jardine Matheson Holdings (JMHLY) China $21.448B 0.00
ITT (ITT) United States $19.391B 32.28
POSCO Holdings (PKX) South Korea $19.099B 47.83
Grupo Cibest S.A - (CIB) Colombia $17.931B 9.97
Carlisle (CSL) United States $14.278B 18.01
Orkla Asa (ORKLY) Norway $12.870B 19.85
Liberty Live Holdings (LLYVK) $8.997B 0.00
China Merchants Holdings (CMHHY) Hong Kong, SAR China $8.904B 0.00
Liberty Live Holdings (LLYVA) $8.747B 0.00
Canadian Tire (CDNAF) Canada $7.624B 0.00
CompoSecure (GPGI) United States $4.689B 18.19
Griffon (GFF) United States $3.642B 13.67
First Pacific (FPAFY) Hong Kong, SAR China $3.082B 0.00
Barloworld (BRRAY) South Africa $2.939B 0.00
IAC (IAC) United States $2.905B 0.00
Shanghai Industrial Holdings (SGHIY) Hong Kong, SAR China $1.939B 0.00
Falcon's Beyond Global (FBYD) United States $1.477B 406.00
National Presto Industries (NPK) United States $1.009B 30.42
Steel Partners Holdings LP (SPLP) United States $1.001B 4.28
Benev Capital (BEVFF) Canada $0.539B 21.01
TROOPS (TROO) Hong Kong, SAR China $0.264B 0.00
Scully Royalty (SRL) China $0.111B 0.00
Alset (AEI) United States $0.070B 0.00
Great Elm (GEG) United States $0.065B 0.00
Live Ventures (LIVE) United States $0.042B 2.43
Star Equity Holdings (STRR) United States $0.036B 0.00
Reitar Logtech Holdings (RITR) Hong Kong, SAR China $0.034B 0.00
Bio Green Med Solution (BGMS) $0.006B 0.00
PMGC Holdings (ELAB) United States $0.006B 0.00
Addentax Group (ATXG) China $0.005B 0.00
Jet.AI (JTAI) United States $0.004B 0.00
Safe & Green Holdings (OLOX) United States $0.003B 0.00
Antelope Enterprise Holdings L (AEHL) United States $0.001B 0.00
Paranovus Entertainment Technology (PAVS) United States $0.001B 0.00
Golden Sun Technology Group (GSUN) China $0.001B 0.00
Aquaron Acquisition (JXG) China $0.001B 0.00
La Rosa Holdings (LRHC) United States $0.000B 0.00
ESGL Holdings (OIO) Singapore $0.000B 0.00