NYSE : HVT

Haverty Furniture Companies, Inc. — Institutional Ownership

$28.86 USD

$0.58 (2.05%)

Volume
234.52K
Average Volume
98.44K
Market Capitalization
$478.14M
P/E Ratio
39.00
Dividend Yield
4.54%
Price Target
$42.00
Year High
$29.18
Year Low
$19.89
Day High
Day Low
Payout Ratio
$1.81
Current Ratio
$1.69
Institutional Ownership Summary
Institutional Ownership %

3.62%

Investors Holding

31

change: -111.0 | last: 142
Increased Positions

13

change: -59.0 | last: 72
Reduced Positions

7

change: -40.0 | last: 47
New Positions

2

change: -24.0 | last: 26
Sold Positions

112

change: 93.0 | last: 19
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -40.4959 | last: 0.405
Total Invested

14.53M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-07-23 BURTON PARTNERSHIP L P 628.26K 4.40%
2026-04-21 West Wesley Associates, LLC 603.5K 49.90%
2026-04-21 Villa Clare Partners, L.P. 603.5K 49.90%
2026-04-21 Clarence H. Smith 730.68K 60.40%
2026-03-27 The Vanguard Group - 0.00%
2025-07-03 PZENA INVESTMENT MANAGEMENT LLC 1.56M 10.50%
2025-04-30 The Vanguard Group 873.45K 5.85%
2025-04-17 BlackRock, Inc. 1.05M 7.00%
2025-02-13 Renaissance Technologies LLC 722.71K 4.78%
2025-02-05 BlackRock, Inc. 1.4M 9.30%
2025-01-30 PZENA INVESTMENT MANAGEMENT LLC 962.1K 6.40%
2025-01-23 Dimensional Fund Advisors LP 1.08M 7.20%
2024-02-09 23-2772200 762.07K 5.08%
2024-02-09 23-2772200 762.07K 5.08%
2023-02-10 23-2772200 745.6K 5.02%
2023-02-10 23-2772200 745.6K 5.02%
2022-02-11 13-3127734 1.15M 6.98%
2022-02-11 26-0385758 1.15M 6.98%
2022-02-11 23-2772200 764.15K 4.62%
2022-02-10 The Vanguard Group - 23-1945930 1.12M 6.80%
2022-02-10 The Vanguard Group - 23-1945930 1.12M 6.80%
2022-02-08 30-0447847 1.17M 7.10%
2022-02-08 30-0447847 1.17M 7.10%
2022-01-27 (1) BlackRock, Inc. 2.73M 16.50%
2022-01-25 (1) BlackRock, Inc. 2.73M 16.50%
2021-02-12 30-0447847 1.31M 7.80%
2021-02-12 30-0447847 1.31M 7.80%
2021-02-11 23-2772200 930.92K 5.57%
2021-02-11 26-0385758 1.2M 7.21%
2021-02-11 13-3127734 1.2M 7.21%
2021-02-11 13-3127734 1.2M 7.21%
2021-02-11 23-2772200 930.92K 5.57%
2021-02-11 26-0385758 1.2M 7.21%
2021-02-10 The Vanguard Group - 23-1945930 1.09M 6.54%
2021-02-10 The Vanguard Group - 23-1945930 1.09M 6.54%
2021-01-25 (1) BlackRock, Inc. 2.72M 16.30%
2020-02-13 26-0385758 1.41M 7.77%
2020-02-13 26-0385758 1.41M 7.77%
2020-02-12 The Vanguard Group - 23-1945930 1.15M 6.34%
2020-02-12 The Vanguard Group - 23-1945930 1.15M 6.34%
2020-02-11 23-2772200 1.04M 5.74%
2020-02-11 23-2772200 1.04M 5.74%
2020-02-04 52-2343049 714.22K 3.95%
2020-02-04 (1) BlackRock, Inc. 2.97M 16.40%
2019-02-13 26-0385758 1.44M 7.61%
2019-02-13 13-3127734 1.44M 7.61%
2019-02-13 23-2772200 1.08M 5.67%
2019-02-13 23-2772200 1.08M 5.67%
2019-02-08 (. 1.63M 8.57%
2019-01-28 (1) BlackRock, Inc. 2.82M 14.90%
2019-01-15 52-2343049 1.49M 7.85%
2018-02-14 26-0385758 1.43M 7.36%
2018-02-14 13-3127734 1.43M 7.36%
2018-02-13 23-2772200 1.05M 5.42%
2018-02-13 23-2772200 1.05M 5.42%
2018-02-09 (. 1.65M 8.48%
2018-01-22 52-2343049 994.3K 5.12%
2018-01-19 (1) BlackRock, Inc. 2.81M 14.50%
2017-10-10 2 969.65K 4.99%
2017-02-14 13-3127734 1.37M 7.15%
2017-02-14 26-0385758 1.37M 7.15%
2017-02-09 Wellington Management Group LLP - 0.00%
2017-01-09 52-2343049 1.39M 7.30%
2017-01-03 Clarence H. Smith 692.48K 34.40%
2017-01-03 West Wesley Associates, LLC 603.5K 29.90%
2017-01-03 Villa Clare Partners, L.P. 603.5K 29.90%
2016-02-12 13-3127734 1.17M 5.83%
2016-02-11 Wellington Management Group LLP 1.67M 8.32%
2016-02-11 Wellington Investment Advisors Holdings LLP 1.67M 8.32%
2016-02-12 26-0385758 1.17M 5.83%
2016-02-11 Wellington Management Company LLP 1.23M 6.10%
2016-02-12 13-3127734 1.17M 5.83%
2016-02-12 26-0385758 1.17M 5.83%
2016-02-11 Wellington Group Holdings LLP 1.67M 8.32%
2016-02-09 (. 1.75M 8.70%
2016-01-13 52-2343049 1.61M 8.03%
2016-01-08 (1) BlackRock, Inc. 2.06M 10.20%
2015-12-10 (1) BlackRock, Inc. 2.03M 10.10%
2015-06-11 Villa Clara Partners, L.P. 603.5K 29.00%
2015-06-11 West Wesley Associates, LLC 603.5K 29.00%
2015-06-11 Clarence H. Smith 692.64K 33.30%
2015-02-05 (. 1.63M 7.95%
2015-01-15 (1) BlackRock, Inc. 1.97M 9.60%
2015-01-09 52-2343049 1.12M 5.44%
2015-01-09 52-2343049 1.12M 5.44%
2014-03-07 (1) BlackRock, Inc. 2.13M 10.60%
2014-01-31 (1) BlackRock, Inc. 1.92M 9.50%
2013-02-13 14-1770168 452K 2.35%
2013-02-13 14-1770168 452K 2.35%
2013-02-01 (1) BlackRock, Inc. 1.54M 8.00%
2012-10-10 (EIN 01-0690900) 859.41K 4.48%
2012-06-12 Ridge Partners, L.P. 108.51K 3.60%
2012-06-12 Frank S. McGaughey III 174.5K 5.80%
2012-02-14 (EIN 01-0690900) 1.5M 8.04%
2012-02-13 14-1770168 974.47K 5.22%
2012-02-14 (. 1.5M 8.02%
2012-02-13 14-1770168 974.47K 5.22%
2012-02-10 (1) BlackRock, Inc. 1.51M 8.07%
2011-12-06 Ridge Partners, L.P. 208.51K 6.40%
2011-12-06 Frank S. McGaughey III 253.1K 7.80%
2011-08-08 Haverty 186.68K 5.60%
2011-08-08 Haverty 186.68K 5.60%
2011-02-04 (1) BlackRock, Inc. 1.52M 8.24%
2010-05-27 Frank S. McGaughey III 330.3K 9.30%
2010-05-27 Ridge Partners, L.P. 308.51K 8.70%
2010-02-16 (EIN 01-0690900) 2.38M 13.58%
2010-02-12 36-4488942 159.8K 0.90%
2010-02-12 04-2471937 110K 0.60%
2010-02-12 04-6187127 49800.0 0.30%
2010-02-10 Met Investors Series Trust 2.34M 13.37%
2010-02-10 MetLife Advisers, LLC 2.34M 13.37%
2010-02-10 MetLife Advisers, LLC 2.34M 13.37%
2010-02-10 Met Investors Series Trust 2.34M 13.37%
2010-02-08 (. 1.48M 8.45%
2010-01-29 BlackRock for purposes of Schedule 13G filings. 1.47M 8.41%
2009-12-10 (EIN 01-0690900) 2.46M 14.03%
2009-06-11 (EIN 01-0690900) 3.36M 19.34%
2009-05-11 (EIN 01-0690900) 3.36M 19.35%
2009-02-13 Met Investors Advisory, LLC 2.72M 15.81%
2009-02-13 (EIN 01-0690900) 4.49M 26.05%
2009-02-13 36-4488942 955.16K 5.50%
2009-02-13 04-2471937 644.22K 3.70%
2009-02-13 04-6187127 310.94K 1.80%
2009-02-13 Met Investors Series Trust 2.72M 15.81%
2009-02-09 (. 1.46M 8.49%
2008-02-14 (EIN 01-0690900) 4.77M 26.95%
2008-02-01 36-4488942 946.72K 5.40%
2008-02-01 04-6187127 389.69K 2.20%
2008-02-01 04-2471937 557.03K 3.10%
2007-09-11 Met Investors Advisory, LLC 2.27M 10.20%
2007-09-11 Met Investors Series Trust 2.27M 10.02%
2007-09-10 (EIN 01-0690900) 4.7M 25.31%
2007-06-11 (EIN 01-0690900) 3.59M 19.39%
2007-06-01 H. Smith 682.26K 16.30%
2007-06-01 Clare Partners, L.P. 598.84K 14.30%
2007-06-01 Wesley Associates, LLC 598.84K 14.30%
2007-02-14 (EIN 01-0690900) 2.49M 13.48%
2007-02-13 52-1575325 1.08M 5.80%
2007-02-13 52-0556948 2.21M 11.90%
2007-02-02 (. 1.52M 8.21%
2006-03-10 (EIN 01-0690900) 2.01M 11.08%
2006-02-15 (EIN 01-0690900) 1.76M 9.69%
2006-02-14 52-1575325 1.08M 5.90%
2006-02-14 52-0556948 2.23M 12.30%
2005-10-11 (EIN 01-0690900) 1.22M 6.61%
2005-02-11 NB Holdings Corporation             56-1857749 278.42K 6.42%
2005-02-11 Bank of America Corporation             56-0906609 278.42K 6.42%
2005-02-11 Bank of America, NA             86-0645265 278.15K 6.42%
2004-03-09 52-0556948 1.8M 10.10%
2004-02-13 NB Holdings Corporation 266.79K 11.00%
2004-02-13 Bank of America, N.A. 266.79K 11.00%
2004-02-13 Bank of America Corporation 266.79K 11.00%
2004-02-09 52-0556948 1.76M 9.80%
2004-02-06 (. 547.1K 3.14%
2003-11-10 943112180 1.5M 8.45%
2003-11-10 BARCLAYS LIFE ASSURANCE COMPANY LIMITED - 0.00%
2003-11-10 BARCLAYS BANK PLC - 0.00%
2003-11-10 BARCLAYS CAPITAL INC - 0.00%
2003-11-10 BARCLAYS PRIVATE BANK & TRUST (ISLE OF MAN) LIMITED - 0.00%
2003-11-10 BARCLAYS PRIVATE BANK AND TRUST (JERSEY) LIMITED - 0.00%
2003-11-10 BARCLAYS BANK TRUST COMPANY LIMITED - 0.00%
2003-11-10 BARCLAYS BANK (Suisse) SA - 0.00%
2003-11-10 BARCLAYS GLOBAL INVESTORS, LTD - 0.00%
2003-11-10 BARCLAYS GLOBAL FUND ADVISORS 306.61K 1.73%
2003-11-10 BARCLAYS GLOBAL INVESTORS JAPAN TRUST AND BANKING COMPANY LIMITED - 0.00%
2003-11-10 BARCLAYS PRIVATE BANK LIMITED - 0.00%
2003-11-10 BARCLAYS CAPITAL SECURITIES LIMITED - 0.00%
2003-02-12 BARCLAYS GLOBAL INVESTORS, LTD - 0.00%
2003-02-12 BARCLAYS CAPITAL INVESTMENTS - 0.00%
2003-02-12 BARCLAYS PRIVATE BANK AND TRUST LIMITED (Sussie) - 0.00%
2003-02-12 943112180 592.46K 3.44%
2003-02-12 943112180 603.75K 3.51%
2003-02-12 BARCLAYS TRUST AND BANKING COMPANY (JAPAN) LIMITED - 0.00%
2003-02-12 BARCLAYS TRUST AND BANKING COMPANY (JAPAN) LIMITED - 0.00%
2003-02-12 BARCLAYS GLOBAL FUND ADVISORS 241.58K 1.40%
2003-02-12 BARCLAYS GLOBAL INVESTORS, LTD - 0.00%
2003-02-12 BARCLAYS CAPITAL SECURITIES LIMITED - 0.00%
2003-02-12 BARCLAYS CAPITAL INVESTMENTS - 0.00%
2003-02-12 BARCLAYS LIFE ASSURANCE COMPANY LIMITED - 0.00%
2003-02-12 BARCLAYS BANK PLC - 0.00%
2003-02-12 BARCLAYS PRIVATE BANK & TRUST (ISLE OF MAN) LIMITED - 0.00%
2003-02-12 BARCLAYS PRIVATE BANK AND TRUST LIMITED (Sussie) - 0.00%
2003-02-12 BARCLAYS PRIVATE BANK AND TRUST (JERSEY) LIMITED - 0.00%
2003-02-12 BARCLAYS BANK TRUST COMPANY LIMITED - 0.00%
2003-02-12 BARCLAYS BANK TRUST COMPANY LIMITED - 0.00%
2003-02-12 BARCLAYS PRIVATE BANK AND TRUST (JERSEY) LIMITED - 0.00%
2003-02-12 BARCLAYS PRIVATE BANK & TRUST (ISLE OF MAN) LIMITED - 0.00%
2003-02-12 BARCLAYS CAPITAL SECURITIES LIMITED - 0.00%
2003-02-12 BARCLAYS BANK PLC - 0.00%
2003-02-12 BARCLAYS LIFE ASSURANCE COMPANY LIMITED - 0.00%
2003-02-12 BARCLAYS GLOBAL FUND ADVISORS 294.5K 1.71%
2003-02-10 (. 875.5K 5.53%
2003-01-31 52-0556948 1.65M 9.50%
2002-02-14 Bank of America, N.A. 259.59K 11.00%
2002-02-14 NB Holdings Corporation 259.59K 11.00%
2002-02-14 Bank of America Corporation 259.59K 11.00%
2002-02-14 Franklin Resources, Inc. 920K 5.60%
2002-02-05 52-0556948 1.35M 8.10%
2001-02-12 NB Holdings Corporation 338.84K 11.00%
2001-02-12 Bank of America Corporation 338.84K 11.00%
2001-02-12 Bank of America, N.A. 338.84K 11.00%
2001-02-07 52-0556948 847.7K 5.30%
2000-02-02 Bank of America, N.A. 344.01K 11.00%
2000-02-02 NB Holdings Corporation 344.01K 11.00%
2000-02-02 Bank of America Corporation 344.01K 11.00%
1999-02-09 52-0556948 275.1K 3.10%
1999-02-09 52-1575325 275K 3.10%
1999-01-11 Franklin Resources, Inc. 248.3K 2.90%
1998-02-09 52-0556948 450K 5.10%
1998-02-09 52-1575325 450K 5.10%
1998-02-04 Franklin Resources, Inc. 561K 6.40%
1998-01-27 22-3330049 - 0.00%
1997-02-12 22-3330049 517.1K 5.87%
1997-02-11 52-1575325 450K 5.10%
1997-02-11 52-0556948 450K 5.10%
1996-11-12 Edward C. Johnson 3d 61750.0 0.71%
1996-11-12 04-2507163) 61750.0 0.71%
1996-11-12 Abigail P. Johnson 61750.0 0.71%
1996-09-09 04-2507163) 759.3K 8.93%
1996-09-09 Edward C. Johnson 3d 759.3K 8.93%
1996-09-09 Abigail P. Johnson 759.3K 8.93%
1996-07-10 Edward C. Johnson 3d 1.23M 14.47%
1996-07-10 Abigail P. Johnson 1.23M 14.47%
1996-07-10 04-2507163) 1.23M 14.47%
1996-02-15 ###-##-####) 1.67M 19.70%
1996-02-15 ###-##-####) 1.67M 19.70%
1996-02-15 04-2507163) 1.67M 19.70%
1995-07-07 ###-##-####) 1.51M 17.77%
1995-07-07 04-2507163) 1.51M 17.77%
1995-06-08 04-2507163) 1.03M 12.10%
1995-06-08 ###-##-####) 1.03M 12.10%
1994-09-09 04-2507163) 355.1K 4.52%
1994-09-09 ###-##-####) 355.1K 4.52%
1994-02-14 04-2507163) 931.9K 11.86%
1994-02-14 ###-##-####) 931.9K 11.86%
HVT Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $23.36 15.74M $367.73M $125.32M $216.42M $458.82M
2024-12-31 $22.26 16.34M $363.73M $120.03M $218.38M $462.07M
2023-12-31 $35.50 14.99M $532.07M $120.64M $217.75M $629.19M
2022-12-31 $29.90 15.23M $455.27M $123.13M $221.29M $553.43M
2021-12-31 $30.57 18.04M $551.48M $166.15M $230.35M $615.69M
2020-12-31 $27.67 18.65M $516.05M $200.06M $233.67M $549.65M
2019-12-31 $20.16 19.89M $400.99M $75.74M $179M $504.26M
2018-12-31 $18.78 20.54M $385.68M $71.54M $50.8M $364.95M
2017-12-31 $22.65 21.22M $480.63M $79.49M $54.59M $455.73M
2016-12-31 $23.70 21.51M $509.69M $63.48M $55.47M $501.69M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-06-30 $25.53 15.74M $401.88M $104.3M $230.71M $528.3M
2026-03-31 $21.18 15.74M $333.41M $107.46M $219.24M $445.19M
2025-12-31 $23.36 15.74M $367.73M $125.32M $216.42M $458.82M
2025-09-30 $21.93 15.74M $345.21M $130.5M $211.84M $426.56M
2025-06-30 $20.35 15.74M $320.34M $113.77M $217.31M $423.88M
2025-03-31 $19.72 15.74M $310.43M $111.94M $217.74M $416.23M
2024-12-31 $22.26 16.34M $363.73M $120.03M $218.38M $462.07M
2024-09-30 $27.47 16.34M $448.86M $127.36M $222.2M $543.7M
2024-06-30 $24.60 16.34M $401.96M $109.94M $213.5M $505.52M
2024-03-31 $33.18 14.9M $494.35M $111.82M $212.25M $594.78M
2023-12-31 $35.50 16.15M $573.22M $120.64M $217.75M $670.34M
2023-09-30 $28.78 15.07M $433.74M $134.3M $220.68M $520.12M