US Stock MarketDetailed Quotes

EVBN Evans Bancorp

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  • 44.410
  • -0.170-0.38%
Close Nov 29 13:00 ET
  • 44.410
  • 0.0000.00%
Post 13:02 ET
246.08MMarket Cap13.26P/E (TTM)

Evans Bancorp 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
248.22%11.91M
-247.64%-8.61M
-776.21%-2.1M
-40.55%15.7M
-33.89%6.14M
-59.76%3.42M
-20.42%5.83M
-76.02%311K
28.74%26.41M
19.62%9.29M
Net income from continuing operations
-18.66%2.94M
-40.27%2.95M
-59.76%2.33M
9.54%24.52M
--10.17M
--3.62M
-13.99%4.93M
22.16%5.8M
-6.88%22.39M
----
Operating gains losses
-207.14%-215K
11.67%-53K
-1,840.00%-87K
-5,145.36%-15.26M
---15.14M
---70K
-215.79%-60K
111.63%5K
-288.96%-291K
----
Depreciation and amortization
-1.44%342K
-35.89%309K
-22.22%301K
-5.34%1.56M
--343K
--347K
22.65%482K
-22.13%387K
30.71%1.65M
----
Deferred tax
-135.66%-337K
-751.85%-176K
-77.78%56K
-458.57%-900K
---1.04M
---143K
-59.70%27K
-3.82%252K
-83.26%251K
----
Other non cashItems
-653.62%-382K
-11.67%53K
214.29%88K
-5.70%182K
-99.92%25K
100.22%69K
215.79%60K
-80.28%28K
319.32%193K
18,144.25%31.75M
Change in working capital
859.48%8.7M
-4,546.74%-12.27M
7.26%-5.39M
366.36%4.6M
--11.28M
---1.15M
-51.83%276K
-19.54%-5.81M
70.17%-1.73M
----
-Change in other current assets
79.38%6.04M
-567.84%-8.38M
89.58%-750K
-97.49%73K
--2.12M
--3.37M
169.69%1.79M
-2,475.91%-7.2M
133.58%2.91M
----
-Change in other current liabilities
158.92%2.66M
-157.03%-3.89M
-434.85%-4.64M
197.54%4.53M
--9.17M
---4.51M
-148.20%-1.52M
126.83%1.39M
-260.64%-4.64M
----
Cash from discontinued operating activities
Operating cash flow
248.22%11.91M
-247.64%-8.61M
-776.21%-2.1M
-40.55%15.7M
-33.89%6.14M
-59.76%3.42M
-20.42%5.83M
-76.02%311K
28.74%26.41M
19.62%9.29M
Investing cash flow
Cash flow from continuing investing activities
30.83%-19.11M
-6,525.17%-38.96M
-95.20%1.23M
137.78%89.37M
295.84%92.03M
-72.40%-27.62M
98.52%-588K
119.07%25.55M
-945.87%-236.58M
-404.60%-46.99M
Net investment purchase and sale
348.85%2.82M
-75.10%4.12M
-65.00%2.3M
180.00%103.15M
7,365.53%81.16M
-123.27%-1.13M
154.14%16.56M
106.44%6.58M
15.61%-128.94M
97.98%-1.12M
Net proceeds payment for loan
32.89%-22.46M
-259.68%-43.03M
-106.03%-838K
52.84%-47.89M
65.10%-16.36M
-142.20%-33.46M
-29.58%-11.96M
143.95%13.9M
-177.29%-101.56M
-203.06%-46.89M
Net PPE purchase and sale
67.71%-31K
47.83%-60K
48.35%-188K
48.71%-517K
116.38%58K
63.91%-96K
29.01%-115K
-61.06%-364K
2.42%-1.01M
-168.18%-354K
Net business purchase and sale
----
----
----
--34.25M
----
----
----
----
--0
----
Net other investing changes
-92.05%562K
100.20%10K
-100.90%-49K
107.29%370K
-618.78%-7.07M
203.79%7.07M
---5.07M
--5.44M
-814.37%-5.07M
-7.97%1.36M
Cash from discontinued investing activities
Investing cash flow
30.83%-19.11M
-6,525.17%-38.96M
-95.20%1.23M
137.78%89.37M
295.84%92.03M
-72.40%-27.62M
98.52%-588K
119.07%25.55M
-945.87%-236.58M
-404.60%-46.99M
Financing cash flow
Cash flow from continuing financing activities
-62.47%9M
-207.67%-4.51M
574.78%155.76M
-805.07%-104.65M
-352.81%-100M
134.22%23.97M
115.14%4.19M
-170.47%-32.81M
-107.75%-11.56M
-27.57%39.55M
Increase decrease in deposit
-51.17%9.18M
100.26%167K
120.62%172.62M
68.00%-52.9M
15.11%-86.64M
119.87%18.8M
-242.62%-63.29M
57.13%78.24M
-199.55%-165.31M
-267.23%-102.06M
Net issuance payments of debt
-107.88%-407K
-101.68%-1.19M
85.00%-16.68M
-127.71%-45.34M
-106.81%-10.07M
-78.92%5.17M
1,462.77%70.73M
-3,054.63%-111.17M
1,570.37%163.64M
4,361.75%147.84M
Net commonstock issuance
7,366.67%224K
-57.35%148K
-249.17%-179K
127.40%807K
112.50%337K
-91.67%3K
160.66%347K
-58.04%120K
-430.90%-2.95M
-902.08%-2.7M
Cash dividends paid
--0
----
----
-4.05%-7.22M
-2.63%-3.63M
--0
----
----
-6.13%-6.94M
-7.58%-3.53M
Cash from discontinued financing activities
Financing cash flow
-62.47%9M
-207.67%-4.51M
574.78%155.76M
-805.07%-104.65M
-352.81%-100M
134.22%23.97M
115.14%4.19M
-170.47%-32.81M
-107.75%-11.56M
-27.57%39.55M
Net cash flow
Beginning cash position
394.63%126.28M
1,007.50%178.35M
1.79%23.47M
-90.58%23.05M
19.27%25.29M
-74.15%25.53M
-89.85%16.1M
-90.58%23.05M
150.79%244.79M
-88.94%21.21M
Current changes in cash
859.07%1.8M
-652.34%-52.07M
2,328.56%154.89M
100.19%413K
-198.92%-1.83M
99.69%-237K
115.73%9.43M
91.93%-6.95M
-250.65%-221.73M
-96.52%1.85M
End cash position
406.37%128.08M
394.63%126.28M
1,007.50%178.35M
1.79%23.47M
1.79%23.47M
19.27%25.29M
-74.15%25.53M
-89.85%16.1M
-90.58%23.05M
-90.58%23.05M
Free cash flow
257.34%11.88M
-251.66%-8.67M
-4,222.64%-2.29M
-40.23%15.18M
-30.62%6.2M
-59.63%3.32M
-20.23%5.71M
-104.95%-53K
30.39%25.4M
17.05%8.93M
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 248.22%11.91M-247.64%-8.61M-776.21%-2.1M-40.55%15.7M-33.89%6.14M-59.76%3.42M-20.42%5.83M-76.02%311K28.74%26.41M19.62%9.29M
Net income from continuing operations -18.66%2.94M-40.27%2.95M-59.76%2.33M9.54%24.52M--10.17M--3.62M-13.99%4.93M22.16%5.8M-6.88%22.39M----
Operating gains losses -207.14%-215K11.67%-53K-1,840.00%-87K-5,145.36%-15.26M---15.14M---70K-215.79%-60K111.63%5K-288.96%-291K----
Depreciation and amortization -1.44%342K-35.89%309K-22.22%301K-5.34%1.56M--343K--347K22.65%482K-22.13%387K30.71%1.65M----
Deferred tax -135.66%-337K-751.85%-176K-77.78%56K-458.57%-900K---1.04M---143K-59.70%27K-3.82%252K-83.26%251K----
Other non cashItems -653.62%-382K-11.67%53K214.29%88K-5.70%182K-99.92%25K100.22%69K215.79%60K-80.28%28K319.32%193K18,144.25%31.75M
Change in working capital 859.48%8.7M-4,546.74%-12.27M7.26%-5.39M366.36%4.6M--11.28M---1.15M-51.83%276K-19.54%-5.81M70.17%-1.73M----
-Change in other current assets 79.38%6.04M-567.84%-8.38M89.58%-750K-97.49%73K--2.12M--3.37M169.69%1.79M-2,475.91%-7.2M133.58%2.91M----
-Change in other current liabilities 158.92%2.66M-157.03%-3.89M-434.85%-4.64M197.54%4.53M--9.17M---4.51M-148.20%-1.52M126.83%1.39M-260.64%-4.64M----
Cash from discontinued operating activities
Operating cash flow 248.22%11.91M-247.64%-8.61M-776.21%-2.1M-40.55%15.7M-33.89%6.14M-59.76%3.42M-20.42%5.83M-76.02%311K28.74%26.41M19.62%9.29M
Investing cash flow
Cash flow from continuing investing activities 30.83%-19.11M-6,525.17%-38.96M-95.20%1.23M137.78%89.37M295.84%92.03M-72.40%-27.62M98.52%-588K119.07%25.55M-945.87%-236.58M-404.60%-46.99M
Net investment purchase and sale 348.85%2.82M-75.10%4.12M-65.00%2.3M180.00%103.15M7,365.53%81.16M-123.27%-1.13M154.14%16.56M106.44%6.58M15.61%-128.94M97.98%-1.12M
Net proceeds payment for loan 32.89%-22.46M-259.68%-43.03M-106.03%-838K52.84%-47.89M65.10%-16.36M-142.20%-33.46M-29.58%-11.96M143.95%13.9M-177.29%-101.56M-203.06%-46.89M
Net PPE purchase and sale 67.71%-31K47.83%-60K48.35%-188K48.71%-517K116.38%58K63.91%-96K29.01%-115K-61.06%-364K2.42%-1.01M-168.18%-354K
Net business purchase and sale --------------34.25M------------------0----
Net other investing changes -92.05%562K100.20%10K-100.90%-49K107.29%370K-618.78%-7.07M203.79%7.07M---5.07M--5.44M-814.37%-5.07M-7.97%1.36M
Cash from discontinued investing activities
Investing cash flow 30.83%-19.11M-6,525.17%-38.96M-95.20%1.23M137.78%89.37M295.84%92.03M-72.40%-27.62M98.52%-588K119.07%25.55M-945.87%-236.58M-404.60%-46.99M
Financing cash flow
Cash flow from continuing financing activities -62.47%9M-207.67%-4.51M574.78%155.76M-805.07%-104.65M-352.81%-100M134.22%23.97M115.14%4.19M-170.47%-32.81M-107.75%-11.56M-27.57%39.55M
Increase decrease in deposit -51.17%9.18M100.26%167K120.62%172.62M68.00%-52.9M15.11%-86.64M119.87%18.8M-242.62%-63.29M57.13%78.24M-199.55%-165.31M-267.23%-102.06M
Net issuance payments of debt -107.88%-407K-101.68%-1.19M85.00%-16.68M-127.71%-45.34M-106.81%-10.07M-78.92%5.17M1,462.77%70.73M-3,054.63%-111.17M1,570.37%163.64M4,361.75%147.84M
Net commonstock issuance 7,366.67%224K-57.35%148K-249.17%-179K127.40%807K112.50%337K-91.67%3K160.66%347K-58.04%120K-430.90%-2.95M-902.08%-2.7M
Cash dividends paid --0---------4.05%-7.22M-2.63%-3.63M--0---------6.13%-6.94M-7.58%-3.53M
Cash from discontinued financing activities
Financing cash flow -62.47%9M-207.67%-4.51M574.78%155.76M-805.07%-104.65M-352.81%-100M134.22%23.97M115.14%4.19M-170.47%-32.81M-107.75%-11.56M-27.57%39.55M
Net cash flow
Beginning cash position 394.63%126.28M1,007.50%178.35M1.79%23.47M-90.58%23.05M19.27%25.29M-74.15%25.53M-89.85%16.1M-90.58%23.05M150.79%244.79M-88.94%21.21M
Current changes in cash 859.07%1.8M-652.34%-52.07M2,328.56%154.89M100.19%413K-198.92%-1.83M99.69%-237K115.73%9.43M91.93%-6.95M-250.65%-221.73M-96.52%1.85M
End cash position 406.37%128.08M394.63%126.28M1,007.50%178.35M1.79%23.47M1.79%23.47M19.27%25.29M-74.15%25.53M-89.85%16.1M-90.58%23.05M-90.58%23.05M
Free cash flow 257.34%11.88M-251.66%-8.67M-4,222.64%-2.29M-40.23%15.18M-30.62%6.2M-59.63%3.32M-20.23%5.71M-104.95%-53K30.39%25.4M17.05%8.93M
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

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Price Target

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