US Stock MarketDetailed Quotes

PBFS Pioneer Bancorp

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  • 11.520
  • +0.060+0.52%
Close Dec 31 16:00 ET
  • 11.520
  • 0.0000.00%
Post 16:00 ET
299.22MMarket Cap16.00P/E (TTM)

Pioneer Bancorp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-84.64%1.91M
-9.22%23.85M
-33.28%9.04M
39.65%3.31M
-139.69%-943K
56.01%12.44M
-47.43%26.27M
-36.70%13.55M
-89.60%2.37M
2,279.82%2.38M
Net income from continuing operations
84.50%6.31M
-30.47%15.26M
-12.80%3.93M
-21.66%4.72M
-48.37%3.19M
-34.68%3.42M
113.52%21.95M
90.73%4.51M
1,894.70%6.02M
-1.18%6.18M
Operating gains losses
-138.75%-191K
1,484.84%5.21M
240.29%289K
-765.52%-386K
2,131.70%5.38M
-316.22%-80K
-34.77%-376K
-240.14%-206K
124.27%58K
-17.26%-265K
Depreciation and amortization
-6.26%629K
-3.78%2.6M
-1.99%641K
-3.33%639K
-6.66%645K
-3.03%671K
-1.68%2.7M
-6.17%654K
-3.92%661K
1.47%691K
Deferred tax
2,154.05%834K
-121.99%-188K
35.13%377K
-201.06%-569K
-106.32%-33K
-84.77%37K
20.76%855K
82.35%279K
57.72%-189K
-19.32%522K
Other non cashItems
4,944.64%2.83M
275.00%350K
48.44%95K
-7.14%39K
190.91%160K
115.51%56K
-229.03%-200K
120.69%64K
223.08%42K
-51.75%55K
Change in working capital
-195.93%-7.52M
-208.10%-841K
-60.23%3.22M
80.82%-829K
-139.99%-11.07M
384.07%7.84M
-97.75%778K
-55.51%8.1M
-119.84%-4.32M
43.42%-4.61M
-Change in receivables
-254.29%-108K
85.80%-365K
-86.53%129K
98.42%-10K
65.91%-554K
105.50%70K
-345.58%-2.57M
512.93%958K
-124.11%-632K
-577.08%-1.63M
-Change in other current assets
-580.77%-1.06M
-46.94%1.99M
53.10%3.39M
-116.56%-182K
-148.53%-1.06M
91.02%-156K
-82.66%3.75M
-50.11%2.21M
-92.93%1.1M
339.56%2.18M
-Change in other current liabilities
-180.25%-6.36M
-484.04%-2.49M
-106.14%-302K
86.63%-641K
-82.93%-9.47M
71.28%7.92M
-103.14%-426K
-64.84%4.92M
-173.52%-4.8M
26.14%-5.17M
-Change in other working capital
-62.50%3K
-4.76%20K
0.00%4K
-33.33%4K
-20.00%4K
33.33%8K
--21K
--4K
--6K
--5K
Cash from discontinued operating activities
Operating cash flow
-84.64%1.91M
-9.22%23.85M
-33.28%9.04M
39.65%3.31M
-139.69%-943K
56.01%12.44M
-47.43%26.27M
-36.70%13.55M
-89.60%2.37M
2,279.82%2.38M
Investing cash flow
Cash flow from continuing investing activities
-52.21%-59.32M
84.29%-18.05M
-57.52%4.75M
27.83%-21M
286.18%37.18M
49.38%-38.97M
22.40%-114.87M
113.78%11.18M
24.14%-29.1M
-218.47%-19.97M
Net investment purchase and sale
-107.23%-1.53M
304.56%187.07M
-43.45%39.44M
202.83%27.83M
1,125.40%98.61M
152.02%21.19M
118.79%46.24M
205.58%69.75M
113.97%9.19M
113.31%8.05M
Net proceeds payment for loan
0.04%-57.75M
-23.72%-200.06M
44.42%-32.36M
-27.69%-48.66M
-118.18%-61.26M
-54.94%-57.77M
-263.12%-161.7M
-288.88%-58.23M
-241.76%-38.11M
-150.54%-28.08M
Net PPE purchase and sale
67.83%-120K
-85.81%-838K
28.47%-201K
-11.96%-103K
-1,138.46%-161K
-473.85%-373K
-210.00%-451K
-112.88%-281K
-111.56%-92K
84.71%-13K
Net business purchase and sale
--0
---1.98M
--0
--0
--0
---1.98M
--0
--0
--0
--0
Net other investing changes
331.58%88K
-316.18%-2.24M
-3,628.07%-2.13M
21.59%-69K
-116.00%-12K
-103.43%-38K
737.10%1.04M
-193.44%-57K
-20.55%-88K
-64.11%75K
Cash from discontinued investing activities
Investing cash flow
-52.21%-59.32M
84.29%-18.05M
-57.52%4.75M
27.83%-21M
286.18%37.18M
49.38%-38.97M
22.40%-114.87M
113.78%11.18M
24.14%-29.1M
-218.47%-19.97M
Financing cash flow
Cash flow from continuing financing activities
26.56%117.19M
106.51%8.91M
-392.70%-95.14M
409.18%124.6M
52.45%-113.14M
-3.37%92.6M
-191.83%-136.98M
33.43%-19.31M
-81.35%24.47M
-93.37%-237.96M
Increase decrease in deposit
28.68%119.18M
107.50%10.21M
-387.63%-94.04M
393.69%124.63M
52.51%-112.99M
-3.36%92.62M
-191.26%-136.13M
33.52%-19.29M
-80.76%25.24M
-93.35%-237.93M
Net issuance payments of debt
-4.00%-26K
10.53%-102K
-4.00%-26K
33.33%-26K
0.00%-25K
0.00%-25K
---114K
---25K
---39K
---25K
Net commonstock issuance
---1.22M
---1.08M
----
----
----
--0
--0
----
----
----
Net other financing activities
---750K
83.11%-124K
--0
--0
----
----
---734K
--0
----
----
Cash from discontinued financing activities
Financing cash flow
26.56%117.19M
106.51%8.91M
-392.70%-95.14M
409.18%124.6M
52.45%-113.14M
-3.37%92.6M
-191.83%-136.98M
33.43%-19.31M
-81.35%24.47M
-93.37%-237.96M
Net cash flow
Beginning cash position
9.78%165.19M
-59.99%150.48M
69.96%246.54M
-5.22%139.63M
-46.25%216.54M
-59.99%150.48M
15.72%376.06M
-68.79%145.06M
-57.81%147.32M
-15.82%402.87M
Current changes in cash
-9.51%59.78M
106.52%14.71M
-1,600.94%-81.35M
4,830.40%106.91M
69.90%-76.91M
146.43%66.07M
-541.48%-225.58M
106.11%5.42M
-101.95%-2.26M
-97.43%-255.55M
End cash position
3.89%224.97M
9.78%165.19M
9.78%165.19M
69.96%246.54M
-5.22%139.63M
-46.25%216.54M
-59.99%150.48M
-59.99%150.48M
-68.79%145.06M
-57.81%147.32M
Free cash flow
-85.16%1.79M
-10.88%23.01M
-33.38%8.84M
40.77%3.2M
-146.72%-1.1M
52.58%12.07M
-47.51%25.82M
-37.63%13.27M
-89.95%2.28M
613.70%2.36M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -84.64%1.91M-9.22%23.85M-33.28%9.04M39.65%3.31M-139.69%-943K56.01%12.44M-47.43%26.27M-36.70%13.55M-89.60%2.37M2,279.82%2.38M
Net income from continuing operations 84.50%6.31M-30.47%15.26M-12.80%3.93M-21.66%4.72M-48.37%3.19M-34.68%3.42M113.52%21.95M90.73%4.51M1,894.70%6.02M-1.18%6.18M
Operating gains losses -138.75%-191K1,484.84%5.21M240.29%289K-765.52%-386K2,131.70%5.38M-316.22%-80K-34.77%-376K-240.14%-206K124.27%58K-17.26%-265K
Depreciation and amortization -6.26%629K-3.78%2.6M-1.99%641K-3.33%639K-6.66%645K-3.03%671K-1.68%2.7M-6.17%654K-3.92%661K1.47%691K
Deferred tax 2,154.05%834K-121.99%-188K35.13%377K-201.06%-569K-106.32%-33K-84.77%37K20.76%855K82.35%279K57.72%-189K-19.32%522K
Other non cashItems 4,944.64%2.83M275.00%350K48.44%95K-7.14%39K190.91%160K115.51%56K-229.03%-200K120.69%64K223.08%42K-51.75%55K
Change in working capital -195.93%-7.52M-208.10%-841K-60.23%3.22M80.82%-829K-139.99%-11.07M384.07%7.84M-97.75%778K-55.51%8.1M-119.84%-4.32M43.42%-4.61M
-Change in receivables -254.29%-108K85.80%-365K-86.53%129K98.42%-10K65.91%-554K105.50%70K-345.58%-2.57M512.93%958K-124.11%-632K-577.08%-1.63M
-Change in other current assets -580.77%-1.06M-46.94%1.99M53.10%3.39M-116.56%-182K-148.53%-1.06M91.02%-156K-82.66%3.75M-50.11%2.21M-92.93%1.1M339.56%2.18M
-Change in other current liabilities -180.25%-6.36M-484.04%-2.49M-106.14%-302K86.63%-641K-82.93%-9.47M71.28%7.92M-103.14%-426K-64.84%4.92M-173.52%-4.8M26.14%-5.17M
-Change in other working capital -62.50%3K-4.76%20K0.00%4K-33.33%4K-20.00%4K33.33%8K--21K--4K--6K--5K
Cash from discontinued operating activities
Operating cash flow -84.64%1.91M-9.22%23.85M-33.28%9.04M39.65%3.31M-139.69%-943K56.01%12.44M-47.43%26.27M-36.70%13.55M-89.60%2.37M2,279.82%2.38M
Investing cash flow
Cash flow from continuing investing activities -52.21%-59.32M84.29%-18.05M-57.52%4.75M27.83%-21M286.18%37.18M49.38%-38.97M22.40%-114.87M113.78%11.18M24.14%-29.1M-218.47%-19.97M
Net investment purchase and sale -107.23%-1.53M304.56%187.07M-43.45%39.44M202.83%27.83M1,125.40%98.61M152.02%21.19M118.79%46.24M205.58%69.75M113.97%9.19M113.31%8.05M
Net proceeds payment for loan 0.04%-57.75M-23.72%-200.06M44.42%-32.36M-27.69%-48.66M-118.18%-61.26M-54.94%-57.77M-263.12%-161.7M-288.88%-58.23M-241.76%-38.11M-150.54%-28.08M
Net PPE purchase and sale 67.83%-120K-85.81%-838K28.47%-201K-11.96%-103K-1,138.46%-161K-473.85%-373K-210.00%-451K-112.88%-281K-111.56%-92K84.71%-13K
Net business purchase and sale --0---1.98M--0--0--0---1.98M--0--0--0--0
Net other investing changes 331.58%88K-316.18%-2.24M-3,628.07%-2.13M21.59%-69K-116.00%-12K-103.43%-38K737.10%1.04M-193.44%-57K-20.55%-88K-64.11%75K
Cash from discontinued investing activities
Investing cash flow -52.21%-59.32M84.29%-18.05M-57.52%4.75M27.83%-21M286.18%37.18M49.38%-38.97M22.40%-114.87M113.78%11.18M24.14%-29.1M-218.47%-19.97M
Financing cash flow
Cash flow from continuing financing activities 26.56%117.19M106.51%8.91M-392.70%-95.14M409.18%124.6M52.45%-113.14M-3.37%92.6M-191.83%-136.98M33.43%-19.31M-81.35%24.47M-93.37%-237.96M
Increase decrease in deposit 28.68%119.18M107.50%10.21M-387.63%-94.04M393.69%124.63M52.51%-112.99M-3.36%92.62M-191.26%-136.13M33.52%-19.29M-80.76%25.24M-93.35%-237.93M
Net issuance payments of debt -4.00%-26K10.53%-102K-4.00%-26K33.33%-26K0.00%-25K0.00%-25K---114K---25K---39K---25K
Net commonstock issuance ---1.22M---1.08M--------------0--0------------
Net other financing activities ---750K83.11%-124K--0--0-----------734K--0--------
Cash from discontinued financing activities
Financing cash flow 26.56%117.19M106.51%8.91M-392.70%-95.14M409.18%124.6M52.45%-113.14M-3.37%92.6M-191.83%-136.98M33.43%-19.31M-81.35%24.47M-93.37%-237.96M
Net cash flow
Beginning cash position 9.78%165.19M-59.99%150.48M69.96%246.54M-5.22%139.63M-46.25%216.54M-59.99%150.48M15.72%376.06M-68.79%145.06M-57.81%147.32M-15.82%402.87M
Current changes in cash -9.51%59.78M106.52%14.71M-1,600.94%-81.35M4,830.40%106.91M69.90%-76.91M146.43%66.07M-541.48%-225.58M106.11%5.42M-101.95%-2.26M-97.43%-255.55M
End cash position 3.89%224.97M9.78%165.19M9.78%165.19M69.96%246.54M-5.22%139.63M-46.25%216.54M-59.99%150.48M-59.99%150.48M-68.79%145.06M-57.81%147.32M
Free cash flow -85.16%1.79M-10.88%23.01M-33.38%8.84M40.77%3.2M-146.72%-1.1M52.58%12.07M-47.51%25.82M-37.63%13.27M-89.95%2.28M613.70%2.36M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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