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BFIN BankFinancial

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  • 12.650
  • -0.170-1.33%
Trading Dec 12 15:09 ET
157.63MMarket Cap20.08P/E (TTM)

BankFinancial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-38.77%3M
-88.73%293K
100.40%9K
-0.79%9.22M
-54.54%4M
4.89%4.89M
-31.99%2.6M
71.56%-2.28M
19.64%9.29M
50.62%8.81M
Net income from continuing operations
-15.87%1.99M
-7.70%2.13M
-35.06%1.71M
-10.49%9.39M
-39.53%2.08M
-26.45%2.37M
-9.93%2.31M
107.65%2.63M
41.62%10.49M
45.00%3.44M
Operating gains losses
--20K
169.23%9K
-106.99%-32K
--445K
--0
--0
---13K
--458K
----
----
Depreciation and amortization
-105.35%-24K
-8.41%392K
93.52%418K
22.11%1.54M
148.89%448K
131.44%449K
7.27%428K
-55.83%216K
-39.09%1.26M
-66.79%180K
Other non cashItems
-9.76%111K
295.33%423K
-66.06%188K
181.72%988K
144.64%204K
140.73%123K
150.00%107K
334.75%554K
-427.64%-1.21M
-89.63%-457K
Change in working capital
-77.37%411K
-2,092.24%-2.54M
63.02%-2.29M
-14.54%-3.53M
-80.51%955K
51.08%1.82M
-118.95%-116K
36.87%-6.18M
-265.48%-3.08M
44.36%4.9M
-Change in receivables
1,447.44%2.41M
-792.90%-1.63M
82.92%-167K
92.42%-204K
344.95%801K
144.44%156K
76.23%-183K
21.26%-978K
-282.65%-2.69M
-168.99%-327K
-Change in payables and accrued expense
-249.08%-1.71M
-295.74%-689K
58.68%-2.62M
-179.12%-5.52M
-115.14%-680K
442.65%1.15M
-77.14%352K
22.90%-6.34M
-52.39%-1.98M
106.58%4.49M
-Change in deferred charges
----
----
----
246.41%347K
----
----
----
----
-946.43%-237K
----
-Change in other current assets
-157.48%-296K
22.81%-220K
-55.92%499K
1.37%1.85M
-50.00%487K
-61.62%515K
-80.38%-285K
438.92%1.13M
61.42%1.82M
35.47%974K
Cash from discontinued operating activities
Operating cash flow
-38.77%3M
-88.73%293K
100.40%9K
-0.79%9.22M
-54.54%4M
4.89%4.89M
-31.99%2.6M
71.56%-2.28M
19.64%9.29M
50.62%8.81M
Investing cash flow
Cash flow from continuing investing activities
-41.82%44.73M
-56.73%24M
-197.69%-39.43M
162.48%197.92M
125.51%25.24M
294.31%76.87M
147.91%55.45M
164.52%40.36M
-213.23%-316.77M
-55.97%-98.93M
Proceeds payment in interest bearing deposits in bank
5,022.22%12.91M
---4.17M
-65.99%-1.24M
----
----
--252K
--0
---744K
----
----
Net investment purchase and sale
-353.84%-30.87M
3,932.69%8.39M
-290.49%-81.53M
121.17%27.98M
-104.82%-27.19M
129.89%12.16M
100.76%208K
183.98%42.8M
-131.41%-132.17M
79.94%-13.28M
Net proceeds payment for loan
-2.77%63.14M
-63.07%20.21M
3,168.85%42.57M
192.84%170.76M
161.45%52.5M
8,366.75%64.94M
162.15%54.71M
87.65%-1.39M
-307.00%-183.93M
-2,745.96%-85.44M
Net PPE purchase and sale
6.44%-450K
-466.67%-649K
192.43%293K
39.09%-1.18M
-7.85%-563K
-34.73%-481K
126.70%177K
21.14%-317K
16.75%-1.94M
33.33%-522K
Net other investing changes
--0
-39.66%216K
12,025.00%485K
-71.32%362K
--0
--0
79.90%358K
-91.11%4K
-64.04%1.26M
0.99%307K
Cash from discontinued investing activities
Investing cash flow
-41.82%44.73M
-56.73%24M
-197.69%-39.43M
162.48%197.92M
125.51%25.24M
294.31%76.87M
147.91%55.45M
164.52%40.36M
-213.23%-316.77M
-55.97%-98.93M
Financing cash flow
Cash flow from continuing financing activities
-139.75%-61.22M
74.90%-4.95M
76.20%-6.63M
25.39%-95.43M
62.32%-22.32M
-31.34%-25.54M
-5.93%-19.73M
9.03%-27.85M
-238.99%-127.91M
-290.31%-59.24M
Increase decrease in deposit
-89.52%-52.86M
38.99%-7.01M
96.09%-2.34M
0.16%-113.31M
71.77%-14.21M
-43.09%-27.89M
31.81%-11.49M
-122.62%-59.72M
-219.61%-113.5M
-247.83%-50.32M
Net issuance payments of debt
---5M
--0
-102.59%-906K
600.00%25M
--0
--0
-100.00%-10M
--35M
-123.81%-5M
--0
Net commonstock issuance
--0
--0
68.92%-156K
50.82%-2.39M
61.59%-676K
79.64%-471K
-192.91%-744K
6.86%-502K
71.58%-4.87M
-5.14%-1.76M
Cash dividends paid
1.03%-1.25M
1.81%-1.25M
2.04%-1.25M
3.35%-5.06M
2.49%-1.26M
3.60%-1.26M
3.50%-1.27M
3.78%-1.27M
6.91%-5.23M
2.79%-1.29M
Net other financing activities
-151.79%-2.12M
-12.51%3.31M
-46.49%-1.98M
-51.69%329K
-5.44%-6.19M
11.40%4.09M
-21.28%3.78M
29.68%-1.35M
160.91%681K
-7,167.47%-5.87M
Cash from discontinued financing activities
Financing cash flow
-139.75%-61.22M
74.90%-4.95M
76.20%-6.63M
25.39%-95.43M
62.32%-22.32M
-31.34%-25.54M
-5.93%-19.73M
9.03%-27.85M
-238.99%-127.91M
-290.31%-59.24M
Net cash flow
Beginning cash position
31.60%151.78M
71.99%132.44M
167.31%178.48M
-86.70%66.77M
-20.62%171.56M
-57.36%115.33M
-80.80%77.01M
-86.70%66.77M
-0.26%502.16M
-59.11%216.13M
Current changes in cash
-124.01%-13.5M
-49.54%19.34M
-549.91%-46.04M
125.66%111.71M
104.64%6.92M
203.48%56.23M
129.36%38.33M
110.12%10.23M
-32,538.01%-435.39M
-464.62%-149.36M
End cash position
-19.40%138.28M
31.60%151.78M
71.99%132.44M
167.31%178.48M
167.31%178.48M
-20.62%171.56M
-57.36%115.33M
-80.80%77.01M
-86.70%66.77M
-86.70%66.77M
Free cash flow
-42.29%2.55M
-117.08%-357K
90.98%-234K
-0.04%7.35M
-58.47%3.44M
2.41%4.41M
-33.86%2.09M
69.11%-2.6M
35.28%7.35M
63.60%8.28M
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
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -38.77%3M-88.73%293K100.40%9K-0.79%9.22M-54.54%4M4.89%4.89M-31.99%2.6M71.56%-2.28M19.64%9.29M50.62%8.81M
Net income from continuing operations -15.87%1.99M-7.70%2.13M-35.06%1.71M-10.49%9.39M-39.53%2.08M-26.45%2.37M-9.93%2.31M107.65%2.63M41.62%10.49M45.00%3.44M
Operating gains losses --20K169.23%9K-106.99%-32K--445K--0--0---13K--458K--------
Depreciation and amortization -105.35%-24K-8.41%392K93.52%418K22.11%1.54M148.89%448K131.44%449K7.27%428K-55.83%216K-39.09%1.26M-66.79%180K
Other non cashItems -9.76%111K295.33%423K-66.06%188K181.72%988K144.64%204K140.73%123K150.00%107K334.75%554K-427.64%-1.21M-89.63%-457K
Change in working capital -77.37%411K-2,092.24%-2.54M63.02%-2.29M-14.54%-3.53M-80.51%955K51.08%1.82M-118.95%-116K36.87%-6.18M-265.48%-3.08M44.36%4.9M
-Change in receivables 1,447.44%2.41M-792.90%-1.63M82.92%-167K92.42%-204K344.95%801K144.44%156K76.23%-183K21.26%-978K-282.65%-2.69M-168.99%-327K
-Change in payables and accrued expense -249.08%-1.71M-295.74%-689K58.68%-2.62M-179.12%-5.52M-115.14%-680K442.65%1.15M-77.14%352K22.90%-6.34M-52.39%-1.98M106.58%4.49M
-Change in deferred charges ------------246.41%347K-----------------946.43%-237K----
-Change in other current assets -157.48%-296K22.81%-220K-55.92%499K1.37%1.85M-50.00%487K-61.62%515K-80.38%-285K438.92%1.13M61.42%1.82M35.47%974K
Cash from discontinued operating activities
Operating cash flow -38.77%3M-88.73%293K100.40%9K-0.79%9.22M-54.54%4M4.89%4.89M-31.99%2.6M71.56%-2.28M19.64%9.29M50.62%8.81M
Investing cash flow
Cash flow from continuing investing activities -41.82%44.73M-56.73%24M-197.69%-39.43M162.48%197.92M125.51%25.24M294.31%76.87M147.91%55.45M164.52%40.36M-213.23%-316.77M-55.97%-98.93M
Proceeds payment in interest bearing deposits in bank 5,022.22%12.91M---4.17M-65.99%-1.24M----------252K--0---744K--------
Net investment purchase and sale -353.84%-30.87M3,932.69%8.39M-290.49%-81.53M121.17%27.98M-104.82%-27.19M129.89%12.16M100.76%208K183.98%42.8M-131.41%-132.17M79.94%-13.28M
Net proceeds payment for loan -2.77%63.14M-63.07%20.21M3,168.85%42.57M192.84%170.76M161.45%52.5M8,366.75%64.94M162.15%54.71M87.65%-1.39M-307.00%-183.93M-2,745.96%-85.44M
Net PPE purchase and sale 6.44%-450K-466.67%-649K192.43%293K39.09%-1.18M-7.85%-563K-34.73%-481K126.70%177K21.14%-317K16.75%-1.94M33.33%-522K
Net other investing changes --0-39.66%216K12,025.00%485K-71.32%362K--0--079.90%358K-91.11%4K-64.04%1.26M0.99%307K
Cash from discontinued investing activities
Investing cash flow -41.82%44.73M-56.73%24M-197.69%-39.43M162.48%197.92M125.51%25.24M294.31%76.87M147.91%55.45M164.52%40.36M-213.23%-316.77M-55.97%-98.93M
Financing cash flow
Cash flow from continuing financing activities -139.75%-61.22M74.90%-4.95M76.20%-6.63M25.39%-95.43M62.32%-22.32M-31.34%-25.54M-5.93%-19.73M9.03%-27.85M-238.99%-127.91M-290.31%-59.24M
Increase decrease in deposit -89.52%-52.86M38.99%-7.01M96.09%-2.34M0.16%-113.31M71.77%-14.21M-43.09%-27.89M31.81%-11.49M-122.62%-59.72M-219.61%-113.5M-247.83%-50.32M
Net issuance payments of debt ---5M--0-102.59%-906K600.00%25M--0--0-100.00%-10M--35M-123.81%-5M--0
Net commonstock issuance --0--068.92%-156K50.82%-2.39M61.59%-676K79.64%-471K-192.91%-744K6.86%-502K71.58%-4.87M-5.14%-1.76M
Cash dividends paid 1.03%-1.25M1.81%-1.25M2.04%-1.25M3.35%-5.06M2.49%-1.26M3.60%-1.26M3.50%-1.27M3.78%-1.27M6.91%-5.23M2.79%-1.29M
Net other financing activities -151.79%-2.12M-12.51%3.31M-46.49%-1.98M-51.69%329K-5.44%-6.19M11.40%4.09M-21.28%3.78M29.68%-1.35M160.91%681K-7,167.47%-5.87M
Cash from discontinued financing activities
Financing cash flow -139.75%-61.22M74.90%-4.95M76.20%-6.63M25.39%-95.43M62.32%-22.32M-31.34%-25.54M-5.93%-19.73M9.03%-27.85M-238.99%-127.91M-290.31%-59.24M
Net cash flow
Beginning cash position 31.60%151.78M71.99%132.44M167.31%178.48M-86.70%66.77M-20.62%171.56M-57.36%115.33M-80.80%77.01M-86.70%66.77M-0.26%502.16M-59.11%216.13M
Current changes in cash -124.01%-13.5M-49.54%19.34M-549.91%-46.04M125.66%111.71M104.64%6.92M203.48%56.23M129.36%38.33M110.12%10.23M-32,538.01%-435.39M-464.62%-149.36M
End cash position -19.40%138.28M31.60%151.78M71.99%132.44M167.31%178.48M167.31%178.48M-20.62%171.56M-57.36%115.33M-80.80%77.01M-86.70%66.77M-86.70%66.77M
Free cash flow -42.29%2.55M-117.08%-357K90.98%-234K-0.04%7.35M-58.47%3.44M2.41%4.41M-33.86%2.09M69.11%-2.6M35.28%7.35M63.60%8.28M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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