US Stock MarketDetailed Quotes

BOH Bank of Hawaii Corp

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  • 69.750
  • +0.300+0.43%
Close Dec 23 16:00 ET
  • 69.960
  • +0.210+0.30%
Post 20:01 ET
2.77BMarket Cap20.95P/E (TTM)

Bank of Hawaii Corp 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
-113.36%-19.23M
308.34%47.33M
283.58%56.84M
-54.88%150.22M
-59.98%25.65M
30.24%143.94M
-90.06%11.59M
-174.07%-30.96M
-11.72%332.96M
73.81%64.09M
Net income from continuing operations
-15.75%40.36M
-26.00%34.08M
-22.31%36.39M
-24.18%171.2M
-50.42%30.4M
-9.28%47.9M
-19.00%46.06M
-14.57%46.84M
-10.88%225.8M
-3.96%61.31M
Operating gains losses
-102.95%-171K
229.83%597K
-44.19%389K
2,071.99%7.21M
1,094.44%537K
594.96%5.8M
22.30%181K
216.95%697K
101.39%332K
67.66%-54K
Depreciation and amortization
2.36%7.88M
-6.24%8.01M
-6.19%8.25M
-0.69%32.99M
-4.54%7.96M
-9.19%7.7M
4.22%8.54M
7.09%8.79M
1.97%33.22M
0.85%8.33M
Deferred tax
-132.52%-3.04M
-4.21%-6.71M
-56.76%2.47M
-313.01%-11.21M
-322.05%-9.16M
82.98%-1.31M
-158.40%-6.44M
71.31%5.71M
-189.83%-2.71M
280.38%4.13M
Other non cashItems
-208.20%-2.18M
74.05%-431K
195.48%1.04M
-106.97%-2.35M
-155.71%-1.61M
-81.97%2.01M
-349.77%-1.66M
-104.83%-1.09M
-66.33%33.67M
-108.86%-630K
Change in working capital
-201.48%-72.69M
106.94%3.14M
100.00%-3K
-728.20%-85.49M
35.62%-11.24M
95.80%71.62M
-198.78%-45.29M
-95.81%-100.58M
-51.38%13.61M
56.46%-17.46M
Cash from discontinued operating activities
Operating cash flow
-113.36%-19.23M
308.34%47.33M
283.58%56.84M
-54.88%150.22M
-59.98%25.65M
30.24%143.94M
-90.06%11.59M
-174.07%-30.96M
-11.72%332.96M
73.81%64.09M
Investing cash flow
Cash flow from continuing investing activities
-150.12%-172.79M
28.10%174.32M
1,525.02%244.15M
144.90%562.8M
114.14%99.08M
403.81%344.77M
215.69%136.08M
94.67%-17.13M
48.28%-1.25B
-2,023.79%-700.89M
Net investment purchase and sale
-122.25%-78.39M
-30.63%158.87M
-17.45%136.8M
420.57%897.46M
140.58%150.35M
27.47%352.37M
-22.98%229.03M
635.09%165.71M
108.33%172.4M
-256.80%-370.45M
Net proceeds payment for loan
-1,162.70%-89.77M
122.67%20.44M
161.02%110.21M
76.72%-325.26M
85.48%-47.4M
98.12%-7.11M
77.87%-90.15M
36.58%-180.61M
-307.58%-1.4B
-69.16%-326.49M
Net PPE purchase and sale
-845.71%-4.63M
-77.90%-4.99M
-27.68%-2.86M
67.31%-9.4M
2.28%-3.87M
95.75%-490K
63.17%-2.81M
60.41%-2.24M
-137.18%-28.76M
41.99%-3.96M
Cash from discontinued investing activities
Investing cash flow
-150.12%-172.79M
28.10%174.32M
1,525.02%244.15M
144.90%562.8M
114.14%99.08M
403.81%344.77M
215.69%136.08M
94.67%-17.13M
48.28%-1.25B
-2,023.79%-700.89M
Financing cash flow
Cash flow from continuing financing activities
135.73%539.44M
-120.56%-187.83M
-258.88%-410.41M
-114.94%-113.84M
-41.50%223.99M
-735.35%-1.51B
272.40%913.79M
-17.80%258.31M
-61.77%761.79M
326.80%382.92M
Increase decrease in deposit
94.02%569.82M
-1,648.28%-268.08M
-204.24%-378.46M
71.90%439.35M
192.55%252.74M
314.52%293.69M
-94.40%17.32M
-134.93%-124.4M
-88.10%255.59M
-104.44%-273.08M
Net issuance payments of debt
100.00%-27K
-105.41%-50.03M
-100.01%-27K
-162.99%-425.1M
-100.00%-27K
-7,395,841.67%-1.78B
3,796.35%924.97M
1,770,829.17%424.98M
437.13%674.9M
3,043,469.57%699.98M
Net commonstock issuance
-11.25%1.18M
-121.67%-303K
84.66%-1.9M
82.57%-8.41M
108.70%1.22M
109.64%1.33M
115.86%1.4M
-5.86%-12.36M
-173.51%-48.27M
-176.73%-14.03M
Net preferred stock issuance
--0
----
----
--0
--0
--0
----
----
--0
----
Cash dividends paid
-5.38%-31.53M
-0.44%-30.03M
-0.37%-30.03M
0.63%-119.67M
0.02%-29.94M
0.52%-29.92M
0.92%-29.9M
1.06%-29.91M
-6.01%-120.43M
0.75%-29.95M
Cash from discontinued financing activities
Financing cash flow
135.73%539.44M
-120.56%-187.83M
-258.88%-410.41M
-114.94%-113.84M
-41.50%223.99M
-735.35%-1.51B
272.40%913.79M
-17.80%258.31M
-61.77%761.79M
326.80%382.92M
Net cash flow
Beginning cash position
-44.70%925.34M
45.68%891.52M
149.14%1B
-28.31%401.77M
-0.52%652.23M
99.37%1.67B
2.85%611.99M
-28.31%401.77M
-8.74%560.43M
-0.05%655.65M
Current changes in cash
134.02%347.43M
-96.81%33.82M
-152.05%-109.42M
477.63%599.18M
237.35%348.72M
-455.86%-1.02B
334.47%1.06B
507.22%210.22M
-195.72%-158.67M
-165.77%-253.88M
End cash position
95.14%1.27B
-44.70%925.34M
45.68%891.52M
149.14%1B
149.14%1B
-0.52%652.23M
99.37%1.67B
2.85%611.99M
-28.31%401.77M
-28.31%401.77M
Free cash flow
-116.63%-23.86M
381.96%42.34M
262.58%53.98M
-53.71%140.82M
-63.77%21.79M
44.91%143.45M
-91.94%8.78M
-191.87%-33.2M
-14.26%304.2M
108.68%60.14M
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
--
--
--
--
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(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 -113.36%-19.23M308.34%47.33M283.58%56.84M-54.88%150.22M-59.98%25.65M30.24%143.94M-90.06%11.59M-174.07%-30.96M-11.72%332.96M73.81%64.09M
Net income from continuing operations -15.75%40.36M-26.00%34.08M-22.31%36.39M-24.18%171.2M-50.42%30.4M-9.28%47.9M-19.00%46.06M-14.57%46.84M-10.88%225.8M-3.96%61.31M
Operating gains losses -102.95%-171K229.83%597K-44.19%389K2,071.99%7.21M1,094.44%537K594.96%5.8M22.30%181K216.95%697K101.39%332K67.66%-54K
Depreciation and amortization 2.36%7.88M-6.24%8.01M-6.19%8.25M-0.69%32.99M-4.54%7.96M-9.19%7.7M4.22%8.54M7.09%8.79M1.97%33.22M0.85%8.33M
Deferred tax -132.52%-3.04M-4.21%-6.71M-56.76%2.47M-313.01%-11.21M-322.05%-9.16M82.98%-1.31M-158.40%-6.44M71.31%5.71M-189.83%-2.71M280.38%4.13M
Other non cashItems -208.20%-2.18M74.05%-431K195.48%1.04M-106.97%-2.35M-155.71%-1.61M-81.97%2.01M-349.77%-1.66M-104.83%-1.09M-66.33%33.67M-108.86%-630K
Change in working capital -201.48%-72.69M106.94%3.14M100.00%-3K-728.20%-85.49M35.62%-11.24M95.80%71.62M-198.78%-45.29M-95.81%-100.58M-51.38%13.61M56.46%-17.46M
Cash from discontinued operating activities
Operating cash flow -113.36%-19.23M308.34%47.33M283.58%56.84M-54.88%150.22M-59.98%25.65M30.24%143.94M-90.06%11.59M-174.07%-30.96M-11.72%332.96M73.81%64.09M
Investing cash flow
Cash flow from continuing investing activities -150.12%-172.79M28.10%174.32M1,525.02%244.15M144.90%562.8M114.14%99.08M403.81%344.77M215.69%136.08M94.67%-17.13M48.28%-1.25B-2,023.79%-700.89M
Net investment purchase and sale -122.25%-78.39M-30.63%158.87M-17.45%136.8M420.57%897.46M140.58%150.35M27.47%352.37M-22.98%229.03M635.09%165.71M108.33%172.4M-256.80%-370.45M
Net proceeds payment for loan -1,162.70%-89.77M122.67%20.44M161.02%110.21M76.72%-325.26M85.48%-47.4M98.12%-7.11M77.87%-90.15M36.58%-180.61M-307.58%-1.4B-69.16%-326.49M
Net PPE purchase and sale -845.71%-4.63M-77.90%-4.99M-27.68%-2.86M67.31%-9.4M2.28%-3.87M95.75%-490K63.17%-2.81M60.41%-2.24M-137.18%-28.76M41.99%-3.96M
Cash from discontinued investing activities
Investing cash flow -150.12%-172.79M28.10%174.32M1,525.02%244.15M144.90%562.8M114.14%99.08M403.81%344.77M215.69%136.08M94.67%-17.13M48.28%-1.25B-2,023.79%-700.89M
Financing cash flow
Cash flow from continuing financing activities 135.73%539.44M-120.56%-187.83M-258.88%-410.41M-114.94%-113.84M-41.50%223.99M-735.35%-1.51B272.40%913.79M-17.80%258.31M-61.77%761.79M326.80%382.92M
Increase decrease in deposit 94.02%569.82M-1,648.28%-268.08M-204.24%-378.46M71.90%439.35M192.55%252.74M314.52%293.69M-94.40%17.32M-134.93%-124.4M-88.10%255.59M-104.44%-273.08M
Net issuance payments of debt 100.00%-27K-105.41%-50.03M-100.01%-27K-162.99%-425.1M-100.00%-27K-7,395,841.67%-1.78B3,796.35%924.97M1,770,829.17%424.98M437.13%674.9M3,043,469.57%699.98M
Net commonstock issuance -11.25%1.18M-121.67%-303K84.66%-1.9M82.57%-8.41M108.70%1.22M109.64%1.33M115.86%1.4M-5.86%-12.36M-173.51%-48.27M-176.73%-14.03M
Net preferred stock issuance --0----------0--0--0----------0----
Cash dividends paid -5.38%-31.53M-0.44%-30.03M-0.37%-30.03M0.63%-119.67M0.02%-29.94M0.52%-29.92M0.92%-29.9M1.06%-29.91M-6.01%-120.43M0.75%-29.95M
Cash from discontinued financing activities
Financing cash flow 135.73%539.44M-120.56%-187.83M-258.88%-410.41M-114.94%-113.84M-41.50%223.99M-735.35%-1.51B272.40%913.79M-17.80%258.31M-61.77%761.79M326.80%382.92M
Net cash flow
Beginning cash position -44.70%925.34M45.68%891.52M149.14%1B-28.31%401.77M-0.52%652.23M99.37%1.67B2.85%611.99M-28.31%401.77M-8.74%560.43M-0.05%655.65M
Current changes in cash 134.02%347.43M-96.81%33.82M-152.05%-109.42M477.63%599.18M237.35%348.72M-455.86%-1.02B334.47%1.06B507.22%210.22M-195.72%-158.67M-165.77%-253.88M
End cash position 95.14%1.27B-44.70%925.34M45.68%891.52M149.14%1B149.14%1B-0.52%652.23M99.37%1.67B2.85%611.99M-28.31%401.77M-28.31%401.77M
Free cash flow -116.63%-23.86M381.96%42.34M262.58%53.98M-53.71%140.82M-63.77%21.79M44.91%143.45M-91.94%8.78M-191.87%-33.2M-14.26%304.2M108.68%60.14M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
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