CA Stock MarketDetailed Quotes

BCF Builders Capital Mortgage Corp

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  • 8.950
  • +0.150+1.70%
15min DelayTrading Sep 13 12:01 ET
28.28MMarket Cap8.61P/E (TTM)

Builders Capital Mortgage Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Cash, cash equivalents and federal funds sold
-28.34%723
57.26%942
-99.85%596
-99.85%596
27,308.32%200.9K
-45.90%1.01K
-81.13%599
11.74%393.61K
11.74%393.61K
-54.33%733
-Cash and cash equivalents
-28.34%723
57.26%942
-99.85%596
-99.85%596
27,308.32%200.9K
-45.90%1.01K
-81.13%599
11.74%393.61K
11.74%393.61K
-54.33%733
Net loan
-13.18%31.33M
-10.79%31.44M
-4.21%32.7M
-4.21%32.7M
17.44%36.33M
17.16%36.09M
19.75%35.24M
20.17%34.13M
20.17%34.13M
13.33%30.93M
-Gross loan
-11.93%32.19M
-9.60%32.23M
-3.17%33.44M
-3.17%33.44M
18.20%36.9M
17.57%36.55M
20.01%35.65M
20.46%34.53M
20.46%34.53M
13.40%31.22M
-Allowance for loans and lease losses
85.80%855.85K
90.67%796.61K
85.69%742.9K
85.69%742.9K
100.18%572.9K
61.57%460.62K
47.97%417.79K
52.23%400.09K
52.23%400.09K
21.00%286.2K
Receivables
--1.76K
-60.14%57
--0
--0
--0
--0
-97.33%143
-84.62%572
-84.62%572
--0
-Accounts receivable
--1.76K
-60.14%57
--0
--0
--0
--0
-97.33%143
-84.62%572
-84.62%572
--0
Prepaid assets
-2.09%6.24K
0.11%7.87K
2.75%4.81K
2.75%4.81K
3.32%9.78K
5.83%6.37K
7.02%7.86K
-8.27%4.68K
-8.27%4.68K
4.43%9.47K
Assets held for sale
140.14%1.56M
97.48%1.51M
-45.13%651.29K
-45.13%651.29K
-44.59%651.29K
-47.73%649.77K
-38.26%765.7K
-32.25%1.19M
-32.25%1.19M
-52.49%1.18M
Total assets
-10.46%32.9M
-8.48%32.96M
-6.62%33.35M
-6.62%33.35M
15.79%37.19M
14.64%36.75M
17.37%36.01M
17.04%35.72M
17.04%35.72M
7.86%32.12M
Liabilities
Current debt and capital lease obligation
-56.08%2.9M
-50.29%2.9M
-42.28%3.3M
-42.28%3.3M
50.35%6.65M
49.48%6.6M
95.35%5.84M
89.37%5.72M
89.37%5.72M
93.95%4.42M
-Current debt
-56.08%2.9M
-50.29%2.9M
-42.28%3.3M
-42.28%3.3M
50.35%6.65M
49.48%6.6M
95.35%5.84M
89.37%5.72M
89.37%5.72M
93.95%4.42M
Payables
-11.62%497.61K
-7.96%543.85K
-7.86%527.92K
-7.86%527.92K
89.81%892.13K
23.46%563.05K
-2.42%590.85K
26.67%572.97K
26.67%572.97K
-11.44%470K
-Accounts payable
6.53%34.99K
-27.14%29.92K
23.42%78.55K
23.42%78.55K
26.19%39.13K
-41.66%32.84K
26.13%41.06K
42.30%63.65K
42.30%63.65K
-74.45%31.01K
-Dividends payable
-0.63%449.37K
0.78%449.37K
-0.95%449.37K
-0.95%449.37K
12.00%452.23K
13.18%452.23K
13.08%445.89K
12.67%453.68K
12.67%453.68K
0.28%403.78K
-Due to related parties
-82.99%13.26K
-37.86%64.56K
--0
--0
1,038.08%400.78K
44,209.09%77.98K
-41.83%103.89K
1,026.46%55.65K
1,026.46%55.65K
422.01%35.22K
Non current deferred liabilities
38.94%111.36K
35.98%131.65K
-6.17%149.74K
-6.17%149.74K
-4.71%140.21K
-47.54%80.15K
-28.54%96.81K
0.48%159.59K
0.48%159.59K
31.86%147.14K
Total liabilities
-51.57%3.51M
-45.18%3.58M
-38.33%3.98M
-38.33%3.98M
52.42%7.69M
44.17%7.24M
74.98%6.53M
77.67%6.45M
77.67%6.45M
72.45%5.04M
Shareholders'equity
Share capital
-0.49%28.97M
-0.49%28.97M
-0.17%28.97M
-0.17%28.97M
8.77%29.11M
8.76%29.11M
8.89%29.11M
8.63%29.02M
8.63%29.02M
0.20%26.77M
-common stock
-0.49%28.97M
-0.49%28.97M
-0.17%28.97M
-0.17%28.97M
8.77%29.11M
8.76%29.11M
8.89%29.11M
8.63%29.02M
8.63%29.02M
0.20%26.77M
Retained earnings
8.51%424.17K
10.43%408.5K
61.96%406.57K
61.96%406.57K
26.14%390.93K
48.54%390.92K
71.47%369.92K
43.18%251.04K
43.18%251.04K
118.01%309.91K
Total stockholders'equity
-0.37%29.39M
-0.35%29.38M
0.36%29.38M
0.36%29.38M
8.97%29.5M
9.15%29.5M
9.39%29.48M
8.86%29.27M
8.86%29.27M
0.82%27.08M
Total equity
-0.37%29.39M
-0.35%29.38M
0.36%29.38M
0.36%29.38M
8.97%29.5M
9.15%29.5M
9.39%29.48M
8.86%29.27M
8.86%29.27M
0.82%27.08M
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
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Cash, cash equivalents and federal funds sold -28.34%72357.26%942-99.85%596-99.85%59627,308.32%200.9K-45.90%1.01K-81.13%59911.74%393.61K11.74%393.61K-54.33%733
-Cash and cash equivalents -28.34%72357.26%942-99.85%596-99.85%59627,308.32%200.9K-45.90%1.01K-81.13%59911.74%393.61K11.74%393.61K-54.33%733
Net loan -13.18%31.33M-10.79%31.44M-4.21%32.7M-4.21%32.7M17.44%36.33M17.16%36.09M19.75%35.24M20.17%34.13M20.17%34.13M13.33%30.93M
-Gross loan -11.93%32.19M-9.60%32.23M-3.17%33.44M-3.17%33.44M18.20%36.9M17.57%36.55M20.01%35.65M20.46%34.53M20.46%34.53M13.40%31.22M
-Allowance for loans and lease losses 85.80%855.85K90.67%796.61K85.69%742.9K85.69%742.9K100.18%572.9K61.57%460.62K47.97%417.79K52.23%400.09K52.23%400.09K21.00%286.2K
Receivables --1.76K-60.14%57--0--0--0--0-97.33%143-84.62%572-84.62%572--0
-Accounts receivable --1.76K-60.14%57--0--0--0--0-97.33%143-84.62%572-84.62%572--0
Prepaid assets -2.09%6.24K0.11%7.87K2.75%4.81K2.75%4.81K3.32%9.78K5.83%6.37K7.02%7.86K-8.27%4.68K-8.27%4.68K4.43%9.47K
Assets held for sale 140.14%1.56M97.48%1.51M-45.13%651.29K-45.13%651.29K-44.59%651.29K-47.73%649.77K-38.26%765.7K-32.25%1.19M-32.25%1.19M-52.49%1.18M
Total assets -10.46%32.9M-8.48%32.96M-6.62%33.35M-6.62%33.35M15.79%37.19M14.64%36.75M17.37%36.01M17.04%35.72M17.04%35.72M7.86%32.12M
Liabilities
Current debt and capital lease obligation -56.08%2.9M-50.29%2.9M-42.28%3.3M-42.28%3.3M50.35%6.65M49.48%6.6M95.35%5.84M89.37%5.72M89.37%5.72M93.95%4.42M
-Current debt -56.08%2.9M-50.29%2.9M-42.28%3.3M-42.28%3.3M50.35%6.65M49.48%6.6M95.35%5.84M89.37%5.72M89.37%5.72M93.95%4.42M
Payables -11.62%497.61K-7.96%543.85K-7.86%527.92K-7.86%527.92K89.81%892.13K23.46%563.05K-2.42%590.85K26.67%572.97K26.67%572.97K-11.44%470K
-Accounts payable 6.53%34.99K-27.14%29.92K23.42%78.55K23.42%78.55K26.19%39.13K-41.66%32.84K26.13%41.06K42.30%63.65K42.30%63.65K-74.45%31.01K
-Dividends payable -0.63%449.37K0.78%449.37K-0.95%449.37K-0.95%449.37K12.00%452.23K13.18%452.23K13.08%445.89K12.67%453.68K12.67%453.68K0.28%403.78K
-Due to related parties -82.99%13.26K-37.86%64.56K--0--01,038.08%400.78K44,209.09%77.98K-41.83%103.89K1,026.46%55.65K1,026.46%55.65K422.01%35.22K
Non current deferred liabilities 38.94%111.36K35.98%131.65K-6.17%149.74K-6.17%149.74K-4.71%140.21K-47.54%80.15K-28.54%96.81K0.48%159.59K0.48%159.59K31.86%147.14K
Total liabilities -51.57%3.51M-45.18%3.58M-38.33%3.98M-38.33%3.98M52.42%7.69M44.17%7.24M74.98%6.53M77.67%6.45M77.67%6.45M72.45%5.04M
Shareholders'equity
Share capital -0.49%28.97M-0.49%28.97M-0.17%28.97M-0.17%28.97M8.77%29.11M8.76%29.11M8.89%29.11M8.63%29.02M8.63%29.02M0.20%26.77M
-common stock -0.49%28.97M-0.49%28.97M-0.17%28.97M-0.17%28.97M8.77%29.11M8.76%29.11M8.89%29.11M8.63%29.02M8.63%29.02M0.20%26.77M
Retained earnings 8.51%424.17K10.43%408.5K61.96%406.57K61.96%406.57K26.14%390.93K48.54%390.92K71.47%369.92K43.18%251.04K43.18%251.04K118.01%309.91K
Total stockholders'equity -0.37%29.39M-0.35%29.38M0.36%29.38M0.36%29.38M8.97%29.5M9.15%29.5M9.39%29.48M8.86%29.27M8.86%29.27M0.82%27.08M
Total equity -0.37%29.39M-0.35%29.38M0.36%29.38M0.36%29.38M8.97%29.5M9.15%29.5M9.39%29.48M8.86%29.27M8.86%29.27M0.82%27.08M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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