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CASS Cass Information Systems

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  • 46.060
  • -0.140-0.30%
Close Jul 17 16:00 ET
  • 46.060
  • 0.0000.00%
Post 16:03 ET
628.43MMarket Cap21.03P/E (TTM)

Cass Information Systems Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
5.75%9.83M
-28.43%36.94M
-29.97%7.57M
27.28%12.39M
-52.96%7.68M
-36.94%9.29M
49.38%51.61M
179.52%10.81M
9.15%9.74M
222.97%16.33M
Net income from continuing operations
0.49%7.15M
-13.88%30.06M
-9.42%8.41M
-15.97%7.39M
-16.63%7.14M
-13.82%7.12M
22.02%34.9M
20.55%9.29M
29.30%8.8M
21.86%8.56M
Operating gains losses
----
1,253.33%173K
--13K
--0
--199K
---39K
70.59%-15K
--0
-1,400.00%-13K
----
Depreciation and amortization
16.84%1.33M
5.70%4.97M
9.52%1.32M
5.23%1.23M
9.98%1.28M
-2.06%1.14M
-9.11%4.7M
128.98%1.21M
-63.22%1.17M
-63.56%1.16M
Deferred tax
----
75.58%-284K
----
----
----
----
-66.62%-1.16M
----
----
----
Other non cashItems
16.00%-1.41M
-149.19%-1.53M
55.90%-982K
-0.80%-2.26M
-44.55%3.39M
-215.85%-1.68M
149.04%3.1M
67.61%-2.23M
-2.90%-2.24M
351.40%6.12M
Change in working capital
643.84%397K
-5.51%-4.52M
-323.02%-2.13M
391.06%3.87M
-106.86%-6.19M
-113.39%-73K
-93.93%-4.28M
-17.76%-504K
-400.38%-1.33M
-0.78%-2.99M
-Change in receivables
14.75%-1.6M
-52.42%-3.84M
-13,135.00%-2.61M
673.06%4.21M
-230.68%-3.57M
-158.68%-1.88M
-318.60%-2.52M
-23.08%20K
-246.12%-735K
-20.69%-1.08M
-Change in payables and accrued expense
4.81%1.79M
-304.56%-1.48M
-81.93%15K
-6,671.43%-460K
-114.57%-2.74M
-10.83%1.7M
251.46%724K
-34.65%83K
-95.81%7K
11.50%-1.28M
-Change in other working capital
109.90%212K
132.45%806K
175.78%460K
120.23%122K
119.40%123K
115.78%101K
-37.16%-2.48M
-8.59%-607K
37.06%-603K
-0.63%-634K
Cash from discontinued operating activities
Operating cash flow
5.75%9.83M
-28.43%36.94M
-29.97%7.57M
27.28%12.39M
-52.96%7.68M
-36.94%9.29M
49.38%51.61M
179.52%10.81M
9.15%9.74M
222.97%16.33M
Investing cash flow
Cash flow from continuing investing activities
-169.26%-71.98M
192.91%284.66M
259.95%90.42M
135.70%30.76M
59.27%59.56M
151.68%103.93M
42.03%-306.39M
77.61%-56.53M
42.58%-86.16M
219.47%37.4M
Net investment purchase and sale
-138.63%-22.95M
181.11%135.48M
-32.23%10.35M
113.46%6.91M
523.99%58.83M
142.30%59.39M
49.91%-167.04M
111.10%15.28M
-27.15%-51.34M
111.76%9.43M
Net proceeds payment for loan
-280.95%-22.68M
156.07%68.59M
155.24%25.3M
120.91%16.23M
-17.43%14.53M
175.96%12.53M
-78.15%-122.33M
47.89%-45.81M
-4,063.79%-77.61M
-0.13%17.59M
Net PPE purchase and sale
-87.36%-3.66M
-144.19%-14.32M
-211.03%-4.96M
-238.65%-2.97M
-218.91%-4.44M
2.40%-1.95M
-34.26%-5.87M
4.55%-1.6M
-8.14%-877K
-41.08%-1.39M
Net other investing changes
-166.82%-22.69M
950.33%94.91M
344.73%59.73M
-75.74%10.59M
-179.56%-9.36M
180.47%33.96M
90.85%-11.16M
3.53%-24.41M
140.82%43.67M
-63.47%11.77M
Cash from discontinued investing activities
Investing cash flow
-169.26%-71.98M
192.91%284.66M
259.95%90.42M
135.70%30.76M
59.27%59.56M
151.68%103.93M
42.03%-306.39M
77.61%-56.53M
42.58%-86.16M
219.47%37.4M
Financing cash flow
Cash flow from continuing financing activities
-13.34%-117.52M
-153.48%-150.07M
-33.51%-133.95M
-41.54%94.81M
-145.09%-7.24M
24.38%-103.68M
-117.50%-59.2M
-138.11%-100.33M
717.35%162.18M
-66.65%16.06M
Increase decrease in deposit
56.25%-61.72M
-425.93%-116.4M
-232.85%-36.53M
-135.10%-14.09M
495.60%75.28M
-216.52%-141.07M
-79.07%35.71M
-79.51%27.5M
-43.75%40.15M
-1.31%12.64M
Net commonstock issuance
---1.05M
-8.95%-5.77M
---561K
---2.84M
-1,015.96%-2.38M
--0
82.90%-5.3M
--0
--0
94.72%-213K
Cash dividends paid
-2.82%-4.09M
-3.35%-15.96M
-2.72%-4.07M
-3.19%-3.95M
-3.72%-3.96M
-3.78%-3.98M
0.03%-15.44M
-2.43%-3.96M
-0.24%-3.82M
1.37%-3.82M
Net other financing activities
-222.46%-50.65M
83.91%-11.94M
25.08%-92.79M
-8.08%115.68M
-1,121.40%-76.19M
149.46%41.36M
-134.64%-74.18M
-185.46%-123.86M
470.15%125.86M
-82.76%7.46M
Cash from discontinued financing activities
Financing cash flow
-13.34%-117.52M
-153.48%-150.07M
-33.51%-133.95M
-41.54%94.81M
-145.09%-7.24M
24.38%-103.68M
-117.50%-59.2M
-138.11%-100.33M
717.35%162.18M
-66.65%16.06M
Net cash flow
Beginning cash position
85.36%372.47M
-60.98%200.94M
17.71%408.44M
3.54%270.47M
9.94%210.48M
-60.98%200.94M
-23.21%514.93M
-30.64%346.99M
-57.97%261.23M
-68.07%191.45M
Current changes in cash
-1,984.07%-179.67M
154.63%171.53M
75.37%-35.97M
60.87%137.96M
-14.03%60M
102.95%9.54M
-101.79%-313.99M
-1,099.06%-146.05M
170.72%85.76M
218.33%69.79M
End cash position
-8.40%192.8M
85.36%372.47M
85.36%372.47M
17.71%408.44M
3.54%270.47M
9.94%210.48M
-60.98%200.94M
-60.98%200.94M
-30.64%346.99M
-57.97%261.23M
Free cash flow
-15.98%6.17M
-50.57%22.61M
-71.71%2.61M
6.35%9.42M
-78.28%3.24M
-42.37%7.34M
51.57%45.74M
319.73%9.21M
9.25%8.86M
267.04%14.94M
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
--
--
--
(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(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 5.75%9.83M-28.43%36.94M-29.97%7.57M27.28%12.39M-52.96%7.68M-36.94%9.29M49.38%51.61M179.52%10.81M9.15%9.74M222.97%16.33M
Net income from continuing operations 0.49%7.15M-13.88%30.06M-9.42%8.41M-15.97%7.39M-16.63%7.14M-13.82%7.12M22.02%34.9M20.55%9.29M29.30%8.8M21.86%8.56M
Operating gains losses ----1,253.33%173K--13K--0--199K---39K70.59%-15K--0-1,400.00%-13K----
Depreciation and amortization 16.84%1.33M5.70%4.97M9.52%1.32M5.23%1.23M9.98%1.28M-2.06%1.14M-9.11%4.7M128.98%1.21M-63.22%1.17M-63.56%1.16M
Deferred tax ----75.58%-284K-----------------66.62%-1.16M------------
Other non cashItems 16.00%-1.41M-149.19%-1.53M55.90%-982K-0.80%-2.26M-44.55%3.39M-215.85%-1.68M149.04%3.1M67.61%-2.23M-2.90%-2.24M351.40%6.12M
Change in working capital 643.84%397K-5.51%-4.52M-323.02%-2.13M391.06%3.87M-106.86%-6.19M-113.39%-73K-93.93%-4.28M-17.76%-504K-400.38%-1.33M-0.78%-2.99M
-Change in receivables 14.75%-1.6M-52.42%-3.84M-13,135.00%-2.61M673.06%4.21M-230.68%-3.57M-158.68%-1.88M-318.60%-2.52M-23.08%20K-246.12%-735K-20.69%-1.08M
-Change in payables and accrued expense 4.81%1.79M-304.56%-1.48M-81.93%15K-6,671.43%-460K-114.57%-2.74M-10.83%1.7M251.46%724K-34.65%83K-95.81%7K11.50%-1.28M
-Change in other working capital 109.90%212K132.45%806K175.78%460K120.23%122K119.40%123K115.78%101K-37.16%-2.48M-8.59%-607K37.06%-603K-0.63%-634K
Cash from discontinued operating activities
Operating cash flow 5.75%9.83M-28.43%36.94M-29.97%7.57M27.28%12.39M-52.96%7.68M-36.94%9.29M49.38%51.61M179.52%10.81M9.15%9.74M222.97%16.33M
Investing cash flow
Cash flow from continuing investing activities -169.26%-71.98M192.91%284.66M259.95%90.42M135.70%30.76M59.27%59.56M151.68%103.93M42.03%-306.39M77.61%-56.53M42.58%-86.16M219.47%37.4M
Net investment purchase and sale -138.63%-22.95M181.11%135.48M-32.23%10.35M113.46%6.91M523.99%58.83M142.30%59.39M49.91%-167.04M111.10%15.28M-27.15%-51.34M111.76%9.43M
Net proceeds payment for loan -280.95%-22.68M156.07%68.59M155.24%25.3M120.91%16.23M-17.43%14.53M175.96%12.53M-78.15%-122.33M47.89%-45.81M-4,063.79%-77.61M-0.13%17.59M
Net PPE purchase and sale -87.36%-3.66M-144.19%-14.32M-211.03%-4.96M-238.65%-2.97M-218.91%-4.44M2.40%-1.95M-34.26%-5.87M4.55%-1.6M-8.14%-877K-41.08%-1.39M
Net other investing changes -166.82%-22.69M950.33%94.91M344.73%59.73M-75.74%10.59M-179.56%-9.36M180.47%33.96M90.85%-11.16M3.53%-24.41M140.82%43.67M-63.47%11.77M
Cash from discontinued investing activities
Investing cash flow -169.26%-71.98M192.91%284.66M259.95%90.42M135.70%30.76M59.27%59.56M151.68%103.93M42.03%-306.39M77.61%-56.53M42.58%-86.16M219.47%37.4M
Financing cash flow
Cash flow from continuing financing activities -13.34%-117.52M-153.48%-150.07M-33.51%-133.95M-41.54%94.81M-145.09%-7.24M24.38%-103.68M-117.50%-59.2M-138.11%-100.33M717.35%162.18M-66.65%16.06M
Increase decrease in deposit 56.25%-61.72M-425.93%-116.4M-232.85%-36.53M-135.10%-14.09M495.60%75.28M-216.52%-141.07M-79.07%35.71M-79.51%27.5M-43.75%40.15M-1.31%12.64M
Net commonstock issuance ---1.05M-8.95%-5.77M---561K---2.84M-1,015.96%-2.38M--082.90%-5.3M--0--094.72%-213K
Cash dividends paid -2.82%-4.09M-3.35%-15.96M-2.72%-4.07M-3.19%-3.95M-3.72%-3.96M-3.78%-3.98M0.03%-15.44M-2.43%-3.96M-0.24%-3.82M1.37%-3.82M
Net other financing activities -222.46%-50.65M83.91%-11.94M25.08%-92.79M-8.08%115.68M-1,121.40%-76.19M149.46%41.36M-134.64%-74.18M-185.46%-123.86M470.15%125.86M-82.76%7.46M
Cash from discontinued financing activities
Financing cash flow -13.34%-117.52M-153.48%-150.07M-33.51%-133.95M-41.54%94.81M-145.09%-7.24M24.38%-103.68M-117.50%-59.2M-138.11%-100.33M717.35%162.18M-66.65%16.06M
Net cash flow
Beginning cash position 85.36%372.47M-60.98%200.94M17.71%408.44M3.54%270.47M9.94%210.48M-60.98%200.94M-23.21%514.93M-30.64%346.99M-57.97%261.23M-68.07%191.45M
Current changes in cash -1,984.07%-179.67M154.63%171.53M75.37%-35.97M60.87%137.96M-14.03%60M102.95%9.54M-101.79%-313.99M-1,099.06%-146.05M170.72%85.76M218.33%69.79M
End cash position -8.40%192.8M85.36%372.47M85.36%372.47M17.71%408.44M3.54%270.47M9.94%210.48M-60.98%200.94M-60.98%200.94M-30.64%346.99M-57.97%261.23M
Free cash flow -15.98%6.17M-50.57%22.61M-71.71%2.61M6.35%9.42M-78.28%3.24M-42.37%7.34M51.57%45.74M319.73%9.21M9.25%8.86M267.04%14.94M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

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