US Stock MarketDetailed Quotes

VEL Velocity Financial

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  • 19.350
  • +0.070+0.36%
Close Oct 11 16:00 ET
  • 19.350
  • 0.0000.00%
Post 16:00 ET
640.67MMarket Cap11.06P/E (TTM)

Velocity Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold
56.89%79.66M
5.38%59.05M
-0.18%62.12M
-0.18%62.12M
15.14%47.1M
-8.46%50.77M
18.05%56.03M
30.27%62.23M
30.27%62.23M
-9.27%40.91M
-Cash and cash equivalents
39.37%47.37M
-11.59%34.83M
-10.28%40.76M
-10.28%40.76M
11.46%29.39M
-26.51%33.99M
7.56%39.4M
25.72%45.42M
25.72%45.42M
-25.71%26.37M
-Restricted cash and investments
92.38%32.29M
45.56%24.22M
27.09%21.36M
27.09%21.36M
21.81%17.7M
82.12%16.79M
53.51%16.64M
44.41%16.81M
44.41%16.81M
51.61%14.53M
Receivables
36.72%120.05M
36.40%119.01M
26.59%120.87M
26.59%120.87M
8.99%95.13M
-5.41%87.8M
-10.03%87.25M
6.92%95.48M
6.92%95.48M
24.87%87.29M
-Accounts receivable
37.70%31.12M
40.34%29.37M
32.08%27.03M
32.08%27.03M
35.04%24.76M
42.87%22.6M
47.72%20.93M
55.51%20.46M
55.51%20.46M
53.11%18.33M
-Other receivables
36.38%88.93M
35.15%89.64M
25.09%93.84M
25.09%93.84M
2.06%70.38M
-15.33%65.2M
-19.91%66.32M
-1.47%75.02M
-1.47%75.02M
19.03%68.95M
Prepaid assets
----
----
9.93%2.03M
9.93%2.03M
----
----
----
13.21%1.84M
13.21%1.84M
----
Net loan
22.00%4.59B
20.31%4.38B
17.00%4.15B
17.00%4.15B
13.12%3.92B
20.61%3.76B
25.14%3.64B
35.58%3.55B
35.58%3.55B
50.76%3.46B
-Gross loan
22.31%4.57B
20.61%4.36B
17.28%4.13B
17.28%4.13B
13.39%3.89B
20.93%3.74B
25.49%3.61B
36.00%3.52B
36.00%3.52B
51.14%3.43B
-Allowance for loans and lease losses
13.27%5.24M
4.40%5.27M
-2.53%4.77M
-2.53%4.77M
-12.10%4.69M
-5.69%4.63M
8.17%5.05M
14.81%4.89M
14.81%4.89M
32.32%5.33M
-Unearned income
-16.21%25.84M
-15.46%27.17M
-15.19%28.35M
-15.19%28.35M
-17.07%29.38M
-11.26%30.84M
-6.38%32.14M
0.21%33.43M
0.21%33.43M
18.98%35.43M
Derivative assets
----
--1.97M
----
----
--1.26M
----
----
----
----
----
Net PPE
-36.75%1.91M
-37.27%2.01M
-7.80%5.33M
-7.80%5.33M
-18.14%2.86M
-16.77%3.02M
-13.04%3.21M
-23.69%5.78M
-23.69%5.78M
4.39%3.5M
-Gross PPE
----
----
2.11%12.95M
2.11%12.95M
----
----
----
-15.61%12.68M
-15.61%12.68M
----
-Accumulated depreciation
----
----
-10.41%-7.62M
-10.41%-7.62M
----
----
----
7.41%-6.9M
7.41%-6.9M
----
Foreclosed assets
148.96%50.76M
112.51%46.28M
232.22%44.27M
232.22%44.27M
122.16%29.3M
6.09%20.39M
34.62%21.78M
-24.10%13.33M
-24.10%13.33M
-26.34%13.19M
Goodwill and other intangible assets
17.16%19M
-0.76%15.8M
-4.12%15.35M
-4.12%15.35M
-0.49%16.56M
6.62%16.22M
10.27%15.92M
14.98%16.01M
14.98%16.01M
--16.64M
-Goodwill
0.00%6.78M
0.00%6.78M
0.00%6.78M
0.00%6.78M
0.00%6.78M
0.00%6.78M
0.00%6.78M
0.00%6.78M
0.00%6.78M
--6.78M
-Other intangible assets
29.48%12.23M
-1.32%9.02M
-7.14%8.58M
-7.14%8.58M
-0.83%9.79M
11.93%9.45M
19.34%9.14M
29.17%9.24M
29.17%9.24M
--9.87M
Other assets
22.81%9.57M
-55.43%5.47M
-52.66%160K
-52.66%160K
-61.91%7.03M
-29.42%7.79M
67.03%12.27M
10.82%338K
10.82%338K
169.66%18.45M
Total assets
23.34%4.87B
20.62%4.63B
17.49%4.4B
17.49%4.4B
12.88%4.12B
18.56%3.95B
23.39%3.84B
33.30%3.75B
33.30%3.75B
48.44%3.65B
Liabilities
Payables
44.77%138.03M
45.91%123.99M
33.26%121.97M
33.26%121.97M
30.23%97.87M
21.64%95.34M
-8.40%84.98M
-0.73%91.53M
-0.73%91.53M
-5.30%75.15M
-Accounts payable
44.77%138.03M
45.91%123.99M
33.26%121.97M
33.26%121.97M
30.23%97.87M
21.64%95.34M
-8.40%84.98M
-0.73%91.53M
-0.73%91.53M
-5.30%75.15M
Current debt and capital lease obligation
0.72%237.44M
20.75%360.22M
1.19%334.76M
1.19%334.76M
-36.72%215.18M
13.13%235.75M
-29.76%298.31M
9.88%330.81M
9.88%330.81M
31.55%340.05M
-Current debt
0.72%237.44M
20.75%360.22M
1.19%334.76M
1.19%334.76M
-36.72%215.18M
13.13%235.75M
-29.76%298.31M
9.88%330.81M
9.88%330.81M
31.55%340.05M
Long term debt and capital lease obligation
25.13%4.02B
20.41%3.69B
19.05%3.51B
19.05%3.51B
18.27%3.38B
19.67%3.21B
36.46%3.06B
42.00%2.95B
42.00%2.95B
60.11%2.86B
-Long term debt
25.13%4.02B
20.41%3.69B
19.05%3.51B
19.05%3.51B
18.27%3.38B
19.67%3.21B
36.46%3.06B
42.00%2.95B
42.00%2.95B
60.11%2.86B
Derivative product liabilities
--374K
--0
--3.67M
--3.67M
----
----
----
--0
--0
----
Total liabilities
24.05%4.4B
21.07%4.17B
17.79%3.97B
17.79%3.97B
12.84%3.7B
19.26%3.55B
24.77%3.45B
36.49%3.37B
36.49%3.37B
47.93%3.28B
Shareholders'equity
Share capital
1.82%335K
1.83%334K
1.53%331K
1.53%331K
1.54%330K
1.23%329K
0.92%328K
0.93%326K
0.93%326K
57.77%325K
-common stock
1.82%335K
1.83%334K
1.53%331K
1.53%331K
1.54%330K
1.23%329K
0.92%328K
0.93%326K
0.93%326K
57.77%325K
Paid-in capital
2.68%311.32M
2.31%308.26M
2.14%306.74M
2.14%306.74M
2.05%304.91M
1.80%303.21M
1.44%301.31M
1.33%300.31M
1.33%300.31M
45.09%298.77M
Retained earnings
61.80%160.94M
67.45%146.16M
68.21%128.91M
68.21%128.91M
64.96%112.46M
70.94%99.47M
83.59%87.28M
72.51%76.63M
72.51%76.63M
89.00%68.17M
Less: Treasury stock
121.72%2.87M
101.16%2.6M
187.99%1.32M
187.99%1.32M
182.53%1.29M
182.53%1.29M
182.53%1.29M
--458K
--458K
--458K
Gains losses not affecting retained earnings
--1.6M
--794K
---1.21M
---1.21M
----
----
----
--0
--0
----
Total stockholders'equity
17.33%471.32M
16.85%452.94M
15.03%433.44M
15.03%433.44M
13.52%416.4M
12.87%401.71M
12.54%387.62M
10.47%376.81M
10.47%376.81M
51.46%366.81M
Non controlling interests
-3.14%3.42M
-2.90%3.51M
-7.05%3.43M
-7.05%3.43M
-7.80%3.62M
-2.27%3.54M
3.58%3.62M
9.11%3.69M
9.11%3.69M
--3.92M
Total equity
17.15%474.75M
16.67%456.45M
14.82%436.87M
14.82%436.87M
13.29%420.02M
12.72%405.24M
12.45%391.24M
10.45%380.5M
10.45%380.5M
53.08%370.73M
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
--
--
(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(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold 56.89%79.66M5.38%59.05M-0.18%62.12M-0.18%62.12M15.14%47.1M-8.46%50.77M18.05%56.03M30.27%62.23M30.27%62.23M-9.27%40.91M
-Cash and cash equivalents 39.37%47.37M-11.59%34.83M-10.28%40.76M-10.28%40.76M11.46%29.39M-26.51%33.99M7.56%39.4M25.72%45.42M25.72%45.42M-25.71%26.37M
-Restricted cash and investments 92.38%32.29M45.56%24.22M27.09%21.36M27.09%21.36M21.81%17.7M82.12%16.79M53.51%16.64M44.41%16.81M44.41%16.81M51.61%14.53M
Receivables 36.72%120.05M36.40%119.01M26.59%120.87M26.59%120.87M8.99%95.13M-5.41%87.8M-10.03%87.25M6.92%95.48M6.92%95.48M24.87%87.29M
-Accounts receivable 37.70%31.12M40.34%29.37M32.08%27.03M32.08%27.03M35.04%24.76M42.87%22.6M47.72%20.93M55.51%20.46M55.51%20.46M53.11%18.33M
-Other receivables 36.38%88.93M35.15%89.64M25.09%93.84M25.09%93.84M2.06%70.38M-15.33%65.2M-19.91%66.32M-1.47%75.02M-1.47%75.02M19.03%68.95M
Prepaid assets --------9.93%2.03M9.93%2.03M------------13.21%1.84M13.21%1.84M----
Net loan 22.00%4.59B20.31%4.38B17.00%4.15B17.00%4.15B13.12%3.92B20.61%3.76B25.14%3.64B35.58%3.55B35.58%3.55B50.76%3.46B
-Gross loan 22.31%4.57B20.61%4.36B17.28%4.13B17.28%4.13B13.39%3.89B20.93%3.74B25.49%3.61B36.00%3.52B36.00%3.52B51.14%3.43B
-Allowance for loans and lease losses 13.27%5.24M4.40%5.27M-2.53%4.77M-2.53%4.77M-12.10%4.69M-5.69%4.63M8.17%5.05M14.81%4.89M14.81%4.89M32.32%5.33M
-Unearned income -16.21%25.84M-15.46%27.17M-15.19%28.35M-15.19%28.35M-17.07%29.38M-11.26%30.84M-6.38%32.14M0.21%33.43M0.21%33.43M18.98%35.43M
Derivative assets ------1.97M----------1.26M--------------------
Net PPE -36.75%1.91M-37.27%2.01M-7.80%5.33M-7.80%5.33M-18.14%2.86M-16.77%3.02M-13.04%3.21M-23.69%5.78M-23.69%5.78M4.39%3.5M
-Gross PPE --------2.11%12.95M2.11%12.95M-------------15.61%12.68M-15.61%12.68M----
-Accumulated depreciation ---------10.41%-7.62M-10.41%-7.62M------------7.41%-6.9M7.41%-6.9M----
Foreclosed assets 148.96%50.76M112.51%46.28M232.22%44.27M232.22%44.27M122.16%29.3M6.09%20.39M34.62%21.78M-24.10%13.33M-24.10%13.33M-26.34%13.19M
Goodwill and other intangible assets 17.16%19M-0.76%15.8M-4.12%15.35M-4.12%15.35M-0.49%16.56M6.62%16.22M10.27%15.92M14.98%16.01M14.98%16.01M--16.64M
-Goodwill 0.00%6.78M0.00%6.78M0.00%6.78M0.00%6.78M0.00%6.78M0.00%6.78M0.00%6.78M0.00%6.78M0.00%6.78M--6.78M
-Other intangible assets 29.48%12.23M-1.32%9.02M-7.14%8.58M-7.14%8.58M-0.83%9.79M11.93%9.45M19.34%9.14M29.17%9.24M29.17%9.24M--9.87M
Other assets 22.81%9.57M-55.43%5.47M-52.66%160K-52.66%160K-61.91%7.03M-29.42%7.79M67.03%12.27M10.82%338K10.82%338K169.66%18.45M
Total assets 23.34%4.87B20.62%4.63B17.49%4.4B17.49%4.4B12.88%4.12B18.56%3.95B23.39%3.84B33.30%3.75B33.30%3.75B48.44%3.65B
Liabilities
Payables 44.77%138.03M45.91%123.99M33.26%121.97M33.26%121.97M30.23%97.87M21.64%95.34M-8.40%84.98M-0.73%91.53M-0.73%91.53M-5.30%75.15M
-Accounts payable 44.77%138.03M45.91%123.99M33.26%121.97M33.26%121.97M30.23%97.87M21.64%95.34M-8.40%84.98M-0.73%91.53M-0.73%91.53M-5.30%75.15M
Current debt and capital lease obligation 0.72%237.44M20.75%360.22M1.19%334.76M1.19%334.76M-36.72%215.18M13.13%235.75M-29.76%298.31M9.88%330.81M9.88%330.81M31.55%340.05M
-Current debt 0.72%237.44M20.75%360.22M1.19%334.76M1.19%334.76M-36.72%215.18M13.13%235.75M-29.76%298.31M9.88%330.81M9.88%330.81M31.55%340.05M
Long term debt and capital lease obligation 25.13%4.02B20.41%3.69B19.05%3.51B19.05%3.51B18.27%3.38B19.67%3.21B36.46%3.06B42.00%2.95B42.00%2.95B60.11%2.86B
-Long term debt 25.13%4.02B20.41%3.69B19.05%3.51B19.05%3.51B18.27%3.38B19.67%3.21B36.46%3.06B42.00%2.95B42.00%2.95B60.11%2.86B
Derivative product liabilities --374K--0--3.67M--3.67M--------------0--0----
Total liabilities 24.05%4.4B21.07%4.17B17.79%3.97B17.79%3.97B12.84%3.7B19.26%3.55B24.77%3.45B36.49%3.37B36.49%3.37B47.93%3.28B
Shareholders'equity
Share capital 1.82%335K1.83%334K1.53%331K1.53%331K1.54%330K1.23%329K0.92%328K0.93%326K0.93%326K57.77%325K
-common stock 1.82%335K1.83%334K1.53%331K1.53%331K1.54%330K1.23%329K0.92%328K0.93%326K0.93%326K57.77%325K
Paid-in capital 2.68%311.32M2.31%308.26M2.14%306.74M2.14%306.74M2.05%304.91M1.80%303.21M1.44%301.31M1.33%300.31M1.33%300.31M45.09%298.77M
Retained earnings 61.80%160.94M67.45%146.16M68.21%128.91M68.21%128.91M64.96%112.46M70.94%99.47M83.59%87.28M72.51%76.63M72.51%76.63M89.00%68.17M
Less: Treasury stock 121.72%2.87M101.16%2.6M187.99%1.32M187.99%1.32M182.53%1.29M182.53%1.29M182.53%1.29M--458K--458K--458K
Gains losses not affecting retained earnings --1.6M--794K---1.21M---1.21M--------------0--0----
Total stockholders'equity 17.33%471.32M16.85%452.94M15.03%433.44M15.03%433.44M13.52%416.4M12.87%401.71M12.54%387.62M10.47%376.81M10.47%376.81M51.46%366.81M
Non controlling interests -3.14%3.42M-2.90%3.51M-7.05%3.43M-7.05%3.43M-7.80%3.62M-2.27%3.54M3.58%3.62M9.11%3.69M9.11%3.69M--3.92M
Total equity 17.15%474.75M16.67%456.45M14.82%436.87M14.82%436.87M13.29%420.02M12.72%405.24M12.45%391.24M10.45%380.5M10.45%380.5M53.08%370.73M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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Symbol
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