US Stock MarketDetailed Quotes

FFIC Flushing Financial Corp

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  • 16.200
  • +0.590+3.78%
Close Jul 23 16:00 ET
470.92MMarket Cap17.05P/E (TTM)

Flushing Financial Corp 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
40.21%-6.23M
-59.67%34.59M
10.59%23.26M
-48.27%10.39M
179.43%11.36M
-125.67%-10.42M
-3.21%85.76M
-27.37%21.03M
-15.15%20.09M
-84.61%4.07M
Net income from continuing operations
-8.90%3.68M
-62.75%28.66M
-20.98%8.1M
-66.58%7.84M
-65.30%8.69M
-77.80%4.04M
-5.93%76.95M
-43.32%10.25M
-7.76%23.44M
30.00%25.04M
Operating gains losses
764.29%1.02M
-104.81%-479K
-104.90%-483K
-78.13%7K
306.85%151K
-219.38%-154K
416.07%9.95M
944.35%9.86M
110.16%32K
-117.63%-73K
Depreciation and amortization
-4.28%1.57M
-0.46%6.45M
-3.60%1.61M
-1.42%1.6M
1.20%1.6M
2.12%1.64M
-7.96%6.48M
-0.12%1.67M
-8.72%1.62M
-11.55%1.59M
Deferred tax
-18.84%922K
2,484.03%3.72M
124.48%923K
-147.16%-341K
-37.23%2M
--1.14M
108.35%144K
-291.48%-3.77M
--723K
--3.19M
Other non cashItems
21.13%-2.22M
13.79%-10.06M
-63.77%-3.12M
23.03%-1.83M
38.47%-2.3M
23.04%-2.82M
-45.09%-11.67M
22.29%-1.91M
-55.33%-2.38M
-184.53%-3.73M
Change in working capital
37.22%-15.19M
-128.99%-7.75M
509.72%17.76M
123.70%141K
93.73%-1.45M
-238.92%-24.2M
-181.06%-3.38M
-55.19%2.91M
-120.83%-595K
-1,886.55%-23.12M
-Change in other current assets
29.54%-6.37M
-263.97%-19.31M
-112.50%-597K
23.17%-1.77M
-237.92%-7.91M
-353.03%-9.03M
1,991.47%11.78M
1,951.55%4.78M
-138.44%-2.31M
219.03%5.73M
-Change in other current liabilities
41.80%-8.82M
176.25%11.56M
1,084.02%18.35M
11.81%1.91M
122.38%6.46M
-209.50%-15.16M
-757.89%-15.16M
-127.60%-1.87M
154.46%1.71M
-5,635.79%-28.85M
Cash from discontinued operating activities
Operating cash flow
40.21%-6.23M
-59.67%34.59M
10.59%23.26M
-48.27%10.39M
179.43%11.36M
-125.67%-10.42M
-3.21%85.76M
-27.37%21.03M
-15.15%20.09M
-84.61%4.07M
Investing cash flow
Cash flow from continuing investing activities
-454.08%-213.99M
73.21%-94.26M
-113.50%-19.04M
66.99%-62.51M
112.47%25.91M
59.63%-38.62M
-229.47%-351.82M
801.97%141.05M
-270.43%-189.37M
-840.38%-207.82M
Net investment purchase and sale
-327.83%-307.1M
-82.19%-129.16M
-105.22%-4.58M
-212.46%-4.41M
-1.03%-48.39M
37.37%-71.78M
50.44%-70.89M
587.90%87.7M
-80.51%3.92M
18.24%-47.9M
Net proceeds payment for loan
124.81%75.55M
112.15%40.94M
26.02%18.45M
62.10%-71.81M
133.74%60.69M
89.10%33.61M
-686.74%-336.97M
302.71%14.64M
-318.19%-189.47M
-583.71%-179.91M
Net PPE purchase and sale
78.37%-287K
-26.39%-5.49M
-60.84%-1.46M
61.87%-602K
-113.98%-2.1M
-51.83%-1.33M
-17.99%-4.34M
-8.09%-909K
-21.18%-1.58M
-69.55%-980K
Net other investing changes
1,921.63%17.85M
-100.92%-556K
-179.39%-31.45M
738.36%14.31M
-25.11%15.7M
-56.84%883K
445.10%60.39M
259.87%39.62M
-140.97%-2.24M
15,983.33%20.97M
Cash from discontinued investing activities
Investing cash flow
-454.08%-213.99M
73.21%-94.26M
-113.50%-19.04M
66.99%-62.51M
112.47%25.91M
59.63%-38.62M
-229.47%-351.82M
801.97%141.05M
-270.43%-189.37M
-840.38%-207.82M
Financing cash flow
Cash flow from continuing financing activities
249.56%258.78M
-76.17%80.08M
81.15%-32.98M
-52.79%92.99M
-134.95%-53.96M
-53.67%74.03M
684.71%336.09M
-65.52%-175.01M
292.80%196.96M
571.31%154.38M
Increase decrease in deposit
76.06%437.75M
119.64%329.21M
-62.90%133.55M
84.98%-42.4M
76.64%-10.58M
111.66%248.64M
-24.76%149.88M
335.07%359.97M
-314.48%-282.27M
-3.56%-45.29M
Net issuance payments of debt
-4.60%-170.75M
-186.33%-209.7M
69.39%-159.42M
-70.76%142.89M
-113.92%-29.93M
-372.07%-163.24M
211.02%242.92M
-1,004.26%-520.79M
321.39%488.71M
1,113.73%215M
Net commonstock issuance
64.28%-1.68M
55.64%-13.17M
91.57%-637K
64.35%-970K
19.90%-6.85M
56.58%-4.71M
-160.99%-29.68M
-110.41%-7.56M
57.50%-2.72M
-9,960.00%-8.55M
Cash dividends paid
1.83%-6.54M
2.85%-26.26M
2.44%-6.47M
3.40%-6.53M
2.77%-6.6M
2.79%-6.66M
-1.91%-27.03M
-0.48%-6.64M
-2.18%-6.76M
-2.00%-6.79M
Cash from discontinued financing activities
Financing cash flow
249.56%258.78M
-76.17%80.08M
81.15%-32.98M
-52.79%92.99M
-134.95%-53.96M
-53.67%74.03M
684.71%336.09M
-65.52%-175.01M
292.80%196.96M
571.31%154.38M
Net cash flow
Beginning cash position
13.44%172.16M
85.69%151.75M
22.00%200.93M
16.80%160.05M
-5.18%176.75M
85.69%151.75M
-48.08%81.72M
-7.79%164.69M
-6.13%137.03M
6.87%186.41M
Current changes in cash
54.31%38.57M
-70.87%20.4M
-122.34%-28.77M
47.73%40.87M
66.19%-16.69M
-76.13%24.99M
192.55%70.03M
86.64%-12.94M
-15.20%27.67M
-73.58%-49.38M
End cash position
19.22%210.72M
13.44%172.16M
13.44%172.16M
22.00%200.93M
16.80%160.05M
-5.18%176.75M
85.69%151.75M
85.69%151.75M
-7.79%164.69M
-6.13%137.03M
Free cash flow
44.52%-6.52M
-64.26%29.1M
8.32%21.79M
-47.11%9.79M
200.23%9.26M
-129.58%-11.75M
-4.13%81.41M
-28.43%20.12M
-17.26%18.51M
-88.06%3.09M
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 40.21%-6.23M-59.67%34.59M10.59%23.26M-48.27%10.39M179.43%11.36M-125.67%-10.42M-3.21%85.76M-27.37%21.03M-15.15%20.09M-84.61%4.07M
Net income from continuing operations -8.90%3.68M-62.75%28.66M-20.98%8.1M-66.58%7.84M-65.30%8.69M-77.80%4.04M-5.93%76.95M-43.32%10.25M-7.76%23.44M30.00%25.04M
Operating gains losses 764.29%1.02M-104.81%-479K-104.90%-483K-78.13%7K306.85%151K-219.38%-154K416.07%9.95M944.35%9.86M110.16%32K-117.63%-73K
Depreciation and amortization -4.28%1.57M-0.46%6.45M-3.60%1.61M-1.42%1.6M1.20%1.6M2.12%1.64M-7.96%6.48M-0.12%1.67M-8.72%1.62M-11.55%1.59M
Deferred tax -18.84%922K2,484.03%3.72M124.48%923K-147.16%-341K-37.23%2M--1.14M108.35%144K-291.48%-3.77M--723K--3.19M
Other non cashItems 21.13%-2.22M13.79%-10.06M-63.77%-3.12M23.03%-1.83M38.47%-2.3M23.04%-2.82M-45.09%-11.67M22.29%-1.91M-55.33%-2.38M-184.53%-3.73M
Change in working capital 37.22%-15.19M-128.99%-7.75M509.72%17.76M123.70%141K93.73%-1.45M-238.92%-24.2M-181.06%-3.38M-55.19%2.91M-120.83%-595K-1,886.55%-23.12M
-Change in other current assets 29.54%-6.37M-263.97%-19.31M-112.50%-597K23.17%-1.77M-237.92%-7.91M-353.03%-9.03M1,991.47%11.78M1,951.55%4.78M-138.44%-2.31M219.03%5.73M
-Change in other current liabilities 41.80%-8.82M176.25%11.56M1,084.02%18.35M11.81%1.91M122.38%6.46M-209.50%-15.16M-757.89%-15.16M-127.60%-1.87M154.46%1.71M-5,635.79%-28.85M
Cash from discontinued operating activities
Operating cash flow 40.21%-6.23M-59.67%34.59M10.59%23.26M-48.27%10.39M179.43%11.36M-125.67%-10.42M-3.21%85.76M-27.37%21.03M-15.15%20.09M-84.61%4.07M
Investing cash flow
Cash flow from continuing investing activities -454.08%-213.99M73.21%-94.26M-113.50%-19.04M66.99%-62.51M112.47%25.91M59.63%-38.62M-229.47%-351.82M801.97%141.05M-270.43%-189.37M-840.38%-207.82M
Net investment purchase and sale -327.83%-307.1M-82.19%-129.16M-105.22%-4.58M-212.46%-4.41M-1.03%-48.39M37.37%-71.78M50.44%-70.89M587.90%87.7M-80.51%3.92M18.24%-47.9M
Net proceeds payment for loan 124.81%75.55M112.15%40.94M26.02%18.45M62.10%-71.81M133.74%60.69M89.10%33.61M-686.74%-336.97M302.71%14.64M-318.19%-189.47M-583.71%-179.91M
Net PPE purchase and sale 78.37%-287K-26.39%-5.49M-60.84%-1.46M61.87%-602K-113.98%-2.1M-51.83%-1.33M-17.99%-4.34M-8.09%-909K-21.18%-1.58M-69.55%-980K
Net other investing changes 1,921.63%17.85M-100.92%-556K-179.39%-31.45M738.36%14.31M-25.11%15.7M-56.84%883K445.10%60.39M259.87%39.62M-140.97%-2.24M15,983.33%20.97M
Cash from discontinued investing activities
Investing cash flow -454.08%-213.99M73.21%-94.26M-113.50%-19.04M66.99%-62.51M112.47%25.91M59.63%-38.62M-229.47%-351.82M801.97%141.05M-270.43%-189.37M-840.38%-207.82M
Financing cash flow
Cash flow from continuing financing activities 249.56%258.78M-76.17%80.08M81.15%-32.98M-52.79%92.99M-134.95%-53.96M-53.67%74.03M684.71%336.09M-65.52%-175.01M292.80%196.96M571.31%154.38M
Increase decrease in deposit 76.06%437.75M119.64%329.21M-62.90%133.55M84.98%-42.4M76.64%-10.58M111.66%248.64M-24.76%149.88M335.07%359.97M-314.48%-282.27M-3.56%-45.29M
Net issuance payments of debt -4.60%-170.75M-186.33%-209.7M69.39%-159.42M-70.76%142.89M-113.92%-29.93M-372.07%-163.24M211.02%242.92M-1,004.26%-520.79M321.39%488.71M1,113.73%215M
Net commonstock issuance 64.28%-1.68M55.64%-13.17M91.57%-637K64.35%-970K19.90%-6.85M56.58%-4.71M-160.99%-29.68M-110.41%-7.56M57.50%-2.72M-9,960.00%-8.55M
Cash dividends paid 1.83%-6.54M2.85%-26.26M2.44%-6.47M3.40%-6.53M2.77%-6.6M2.79%-6.66M-1.91%-27.03M-0.48%-6.64M-2.18%-6.76M-2.00%-6.79M
Cash from discontinued financing activities
Financing cash flow 249.56%258.78M-76.17%80.08M81.15%-32.98M-52.79%92.99M-134.95%-53.96M-53.67%74.03M684.71%336.09M-65.52%-175.01M292.80%196.96M571.31%154.38M
Net cash flow
Beginning cash position 13.44%172.16M85.69%151.75M22.00%200.93M16.80%160.05M-5.18%176.75M85.69%151.75M-48.08%81.72M-7.79%164.69M-6.13%137.03M6.87%186.41M
Current changes in cash 54.31%38.57M-70.87%20.4M-122.34%-28.77M47.73%40.87M66.19%-16.69M-76.13%24.99M192.55%70.03M86.64%-12.94M-15.20%27.67M-73.58%-49.38M
End cash position 19.22%210.72M13.44%172.16M13.44%172.16M22.00%200.93M16.80%160.05M-5.18%176.75M85.69%151.75M85.69%151.75M-7.79%164.69M-6.13%137.03M
Free cash flow 44.52%-6.52M-64.26%29.1M8.32%21.79M-47.11%9.79M200.23%9.26M-129.58%-11.75M-4.13%81.41M-28.43%20.12M-17.26%18.51M-88.06%3.09M
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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