US Stock MarketDetailed Quotes

BCOW 1895 Bancorp of Wisconsin

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  • 10.090
  • +0.040+0.40%
Close Oct 18 16:00 ET
56.07MMarket Cap-8270P/E (TTM)

1895 Bancorp of Wisconsin 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-417.13%-796K
63.39%-398K
-127.43%-709K
-146.33%-385K
-55.21%512K
-75.61%251K
-160.05%-1.09M
-6.91%2.59M
110.08%831K
-89.11%1.14M
Net income from continuing operations
-1.57%-516K
15.24%-306K
-4,489.19%-6.79M
-9,608.33%-2.28M
-3,036.29%-3.64M
-110.79%-508K
-556.36%-361K
-274.12%-148K
108.92%24K
206.90%124K
Operating gains losses
-366.67%-140K
-76.32%-67K
1,499.68%4.34M
5,906.82%2.56M
2,358.54%1.85M
71.70%-30K
51.28%-38K
79.54%-310K
69.01%-44K
81.70%-82K
Depreciation and amortization
-4.84%118K
-7.81%118K
-18.00%492K
-12.50%119K
-21.43%121K
-20.51%124K
-16.88%128K
-8.26%600K
-13.38%136K
-7.23%154K
Deferred tax
41.76%-159K
33.77%-100K
326.90%388K
-61,400.00%-613K
7,025.00%1.43M
-106.82%-273K
-151.67%-151K
-167.19%-171K
100.92%1K
135.09%20K
Other non cashItems
-848.75%-759K
-396.43%-166K
-173.36%-931K
-300.57%-353K
-381.22%-554K
-111.71%-80K
-73.71%56K
-47.06%1.27M
102.12%176K
-97.86%197K
Change in working capital
-50.46%481K
117.81%148K
524.75%1.27M
-40.17%280K
107.82%850K
937.07%971K
21.60%-831K
-127.87%-299K
-25.95%468K
-65.92%409K
-Change in receivables
-85.84%49K
29.73%-338K
206.92%556K
-97.93%8K
543.51%683K
0.87%346K
56.11%-481K
-198.85%-520K
-1.78%387K
-116.67%-154K
-Change in payables and accrued expense
-29.88%406K
217.83%456K
1,175.56%574K
372.55%241K
-72.57%141K
213.98%579K
-3,125.00%-387K
-95.94%45K
-73.58%51K
107.26%514K
-Change in other current assets
-43.48%26K
-18.92%30K
-20.45%140K
3.33%31K
-46.94%26K
-6.12%46K
-22.92%37K
26.62%176K
-33.33%30K
75.00%49K
Cash from discontinued operating activities
Operating cash flow
-417.13%-796K
63.39%-398K
-127.43%-709K
-146.33%-385K
-55.21%512K
-75.61%251K
-160.05%-1.09M
-6.91%2.59M
110.08%831K
-89.11%1.14M
Investing cash flow
Cash flow from continuing investing activities
74.74%-2.33M
158.67%3.41M
46.83%-29.32M
-1,823.73%-12.89M
29.39%-1.4M
62.97%-9.21M
78.93%-5.82M
-9.13%-55.14M
93.70%-670K
59.44%-1.98M
Net investment purchase and sale
-17.83%3.21M
-27.23%2.37M
135.86%6.54M
-127.42%-1.21M
-84.24%578K
229.87%3.91M
111.86%3.26M
67.24%-18.23M
116.60%4.42M
-10.41%3.67M
Net proceeds payment for loan
60.36%-5.45M
119.19%1.46M
1.66%-35.73M
-152.36%-12.23M
60.89%-2.13M
47.17%-13.76M
-380,650.00%-7.62M
-791.49%-36.33M
-130.34%-4.85M
38.71%-5.45M
Capital expenditure
-289.29%-109K
72.50%-22K
-334.22%-812K
-144.00%-61K
-1,974.19%-643K
12.50%-28K
19.19%-80K
23.05%-187K
48.98%-25K
69.00%-31K
Net PPE purchase and sale
----
----
----
----
--12K
----
----
----
----
----
Net other investing changes
--0
71.06%-400K
272.54%685K
379.82%624K
--782K
--661K
---1.38M
---397K
---223K
----
Cash from discontinued investing activities
Investing cash flow
74.74%-2.33M
158.67%3.41M
46.83%-29.32M
-1,823.73%-12.89M
29.39%-1.4M
62.97%-9.21M
78.93%-5.82M
-9.13%-55.14M
93.70%-670K
59.44%-1.98M
Financing cash flow
Cash flow from continuing financing activities
-211.56%-3.06M
-11.04%6.74M
5.94%14.94M
-100.63%-79K
227.71%4.7M
142.14%2.74M
-35.83%7.57M
-36.01%14.1M
1,155.92%12.48M
94.30%-3.68M
Increase decrease in deposit
44.07%-434K
72.09%-4.4M
395.71%15.96M
98.39%16.71M
519.31%15.78M
90.17%-776K
-344.19%-15.76M
-30.80%3.22M
-17.32%8.42M
95.90%-3.76M
Net issuance payments of debt
-1,021.22%-5.49M
-56.09%9.01M
-102.85%-457K
-151.62%-7.49M
-2,583.68%-12.99M
51.68%-490K
582.21%20.51M
223.66%16.02M
3,049.80%14.51M
93.54%-484K
Net commonstock issuance
-121.92%-324K
-291.55%-556K
75.63%-793K
78.87%-266K
87.53%-239K
-131.75%-146K
-846.67%-142K
-109.24%-3.25M
-681.99%-1.26M
-105.42%-1.92M
Proceeds from stock option exercised by employees
----
----
101.79%19K
--0
----
----
----
47.19%-1.06M
--0
--0
Net other financing activities
-23.18%3.19M
-9.20%2.69M
124.61%204K
1.79%-9.03M
-14.64%2.12M
38.32%4.16M
2.82%2.96M
71.06%-829K
9.26%-9.2M
196.42%2.49M
Cash from discontinued financing activities
Financing cash flow
-211.56%-3.06M
-11.04%6.74M
5.94%14.94M
-100.63%-79K
227.71%4.7M
142.14%2.74M
-35.83%7.57M
-36.01%14.1M
1,155.92%12.48M
94.30%-3.68M
Net cash flow
Beginning cash position
-20.72%23M
-53.25%13.25M
-57.57%28.34M
69.42%26.6M
12.73%22.8M
-42.64%29.02M
-57.57%28.34M
-27.80%66.8M
-81.92%15.7M
-86.13%20.22M
Current changes in cash
0.59%-6.18M
1,353.35%9.75M
60.75%-15.09M
-205.62%-13.35M
184.27%3.81M
79.52%-6.22M
104.14%671K
-49.51%-38.46M
163.04%12.64M
92.34%-4.52M
End cash position
-26.22%16.82M
-20.72%23M
-53.25%13.25M
-53.25%13.25M
69.42%26.6M
12.73%22.8M
-42.64%29.02M
-57.57%28.34M
-57.57%28.34M
-81.92%15.7M
Free cash flow
-505.83%-905K
64.01%-420K
-163.43%-1.52M
-155.33%-446K
-111.78%-131K
-77.63%223K
-125.73%-1.17M
-5.37%2.4M
109.72%806K
-89.30%1.11M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -417.13%-796K63.39%-398K-127.43%-709K-146.33%-385K-55.21%512K-75.61%251K-160.05%-1.09M-6.91%2.59M110.08%831K-89.11%1.14M
Net income from continuing operations -1.57%-516K15.24%-306K-4,489.19%-6.79M-9,608.33%-2.28M-3,036.29%-3.64M-110.79%-508K-556.36%-361K-274.12%-148K108.92%24K206.90%124K
Operating gains losses -366.67%-140K-76.32%-67K1,499.68%4.34M5,906.82%2.56M2,358.54%1.85M71.70%-30K51.28%-38K79.54%-310K69.01%-44K81.70%-82K
Depreciation and amortization -4.84%118K-7.81%118K-18.00%492K-12.50%119K-21.43%121K-20.51%124K-16.88%128K-8.26%600K-13.38%136K-7.23%154K
Deferred tax 41.76%-159K33.77%-100K326.90%388K-61,400.00%-613K7,025.00%1.43M-106.82%-273K-151.67%-151K-167.19%-171K100.92%1K135.09%20K
Other non cashItems -848.75%-759K-396.43%-166K-173.36%-931K-300.57%-353K-381.22%-554K-111.71%-80K-73.71%56K-47.06%1.27M102.12%176K-97.86%197K
Change in working capital -50.46%481K117.81%148K524.75%1.27M-40.17%280K107.82%850K937.07%971K21.60%-831K-127.87%-299K-25.95%468K-65.92%409K
-Change in receivables -85.84%49K29.73%-338K206.92%556K-97.93%8K543.51%683K0.87%346K56.11%-481K-198.85%-520K-1.78%387K-116.67%-154K
-Change in payables and accrued expense -29.88%406K217.83%456K1,175.56%574K372.55%241K-72.57%141K213.98%579K-3,125.00%-387K-95.94%45K-73.58%51K107.26%514K
-Change in other current assets -43.48%26K-18.92%30K-20.45%140K3.33%31K-46.94%26K-6.12%46K-22.92%37K26.62%176K-33.33%30K75.00%49K
Cash from discontinued operating activities
Operating cash flow -417.13%-796K63.39%-398K-127.43%-709K-146.33%-385K-55.21%512K-75.61%251K-160.05%-1.09M-6.91%2.59M110.08%831K-89.11%1.14M
Investing cash flow
Cash flow from continuing investing activities 74.74%-2.33M158.67%3.41M46.83%-29.32M-1,823.73%-12.89M29.39%-1.4M62.97%-9.21M78.93%-5.82M-9.13%-55.14M93.70%-670K59.44%-1.98M
Net investment purchase and sale -17.83%3.21M-27.23%2.37M135.86%6.54M-127.42%-1.21M-84.24%578K229.87%3.91M111.86%3.26M67.24%-18.23M116.60%4.42M-10.41%3.67M
Net proceeds payment for loan 60.36%-5.45M119.19%1.46M1.66%-35.73M-152.36%-12.23M60.89%-2.13M47.17%-13.76M-380,650.00%-7.62M-791.49%-36.33M-130.34%-4.85M38.71%-5.45M
Capital expenditure -289.29%-109K72.50%-22K-334.22%-812K-144.00%-61K-1,974.19%-643K12.50%-28K19.19%-80K23.05%-187K48.98%-25K69.00%-31K
Net PPE purchase and sale ------------------12K--------------------
Net other investing changes --071.06%-400K272.54%685K379.82%624K--782K--661K---1.38M---397K---223K----
Cash from discontinued investing activities
Investing cash flow 74.74%-2.33M158.67%3.41M46.83%-29.32M-1,823.73%-12.89M29.39%-1.4M62.97%-9.21M78.93%-5.82M-9.13%-55.14M93.70%-670K59.44%-1.98M
Financing cash flow
Cash flow from continuing financing activities -211.56%-3.06M-11.04%6.74M5.94%14.94M-100.63%-79K227.71%4.7M142.14%2.74M-35.83%7.57M-36.01%14.1M1,155.92%12.48M94.30%-3.68M
Increase decrease in deposit 44.07%-434K72.09%-4.4M395.71%15.96M98.39%16.71M519.31%15.78M90.17%-776K-344.19%-15.76M-30.80%3.22M-17.32%8.42M95.90%-3.76M
Net issuance payments of debt -1,021.22%-5.49M-56.09%9.01M-102.85%-457K-151.62%-7.49M-2,583.68%-12.99M51.68%-490K582.21%20.51M223.66%16.02M3,049.80%14.51M93.54%-484K
Net commonstock issuance -121.92%-324K-291.55%-556K75.63%-793K78.87%-266K87.53%-239K-131.75%-146K-846.67%-142K-109.24%-3.25M-681.99%-1.26M-105.42%-1.92M
Proceeds from stock option exercised by employees --------101.79%19K--0------------47.19%-1.06M--0--0
Net other financing activities -23.18%3.19M-9.20%2.69M124.61%204K1.79%-9.03M-14.64%2.12M38.32%4.16M2.82%2.96M71.06%-829K9.26%-9.2M196.42%2.49M
Cash from discontinued financing activities
Financing cash flow -211.56%-3.06M-11.04%6.74M5.94%14.94M-100.63%-79K227.71%4.7M142.14%2.74M-35.83%7.57M-36.01%14.1M1,155.92%12.48M94.30%-3.68M
Net cash flow
Beginning cash position -20.72%23M-53.25%13.25M-57.57%28.34M69.42%26.6M12.73%22.8M-42.64%29.02M-57.57%28.34M-27.80%66.8M-81.92%15.7M-86.13%20.22M
Current changes in cash 0.59%-6.18M1,353.35%9.75M60.75%-15.09M-205.62%-13.35M184.27%3.81M79.52%-6.22M104.14%671K-49.51%-38.46M163.04%12.64M92.34%-4.52M
End cash position -26.22%16.82M-20.72%23M-53.25%13.25M-53.25%13.25M69.42%26.6M12.73%22.8M-42.64%29.02M-57.57%28.34M-57.57%28.34M-81.92%15.7M
Free cash flow -505.83%-905K64.01%-420K-163.43%-1.52M-155.33%-446K-111.78%-131K-77.63%223K-125.73%-1.17M-5.37%2.4M109.72%806K-89.30%1.11M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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