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WAFDP WASHINGTON FEDERAL INC DEP SHS REP 1/40TH PERP PFD SER A USD25

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  • 17.130
  • -0.120-0.70%
Close Jan 22 16:00 ET
0Market Cap0.00P/E (TTM)

WASHINGTON FEDERAL INC DEP SHS REP 1/40TH PERP PFD SER A USD25 Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 31, 2024
(FY)Sep 30, 2024
(Q4)Sep 30, 2024
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold
31.71%1.51B
142.81%2.38B
142.81%2.38B
118.71%2.49B
34.62%1.51B
77.25%1.14B
43.38%980.65M
43.38%980.65M
87.62%1.14B
-42.57%1.12B
-Cash and cash equivalents
31.71%1.51B
142.81%2.38B
142.81%2.38B
118.71%2.49B
34.62%1.51B
77.25%1.14B
43.38%980.65M
43.38%980.65M
87.62%1.14B
-42.57%1.12B
Receivables
18.53%103.15M
132.58%222.08M
132.58%222.08M
183.72%232.45M
231.76%262.32M
15.54%87.02M
49.49%95.48M
49.49%95.48M
46.34%81.93M
43.08%79.07M
-Accounts receivable
18.53%103.15M
18.19%102.83M
18.19%102.83M
26.22%103.41M
46.05%115.48M
15.54%87.02M
36.21%87M
36.21%87M
46.34%81.93M
53.71%79.07M
-Other receivables
----
1,306.39%119.25M
1,306.39%119.25M
--129.04M
--146.83M
----
--8.48M
--8.48M
----
----
Net loan
19.77%21.06B
19.68%20.92B
19.68%20.92B
22.77%21.34B
37.73%23.79B
3.48%17.58B
8.46%17.48B
8.46%17.48B
11.69%17.38B
14.42%17.27B
-Gross loan
19.22%21.27B
20.26%21.35B
20.26%21.35B
23.69%21.84B
38.52%24.29B
3.32%17.84B
8.39%17.75B
8.39%17.75B
11.64%17.66B
14.34%17.53B
-Allowance for loans and lease losses
14.05%204.52M
14.98%203.75M
14.98%203.75M
14.46%203.82M
13.62%201.58M
1.43%179.32M
2.55%177.21M
2.55%177.21M
4.15%178.07M
3.52%177.42M
-Unearned income
----
-132.26%-229.49M
-132.26%-229.49M
-207.84%-294.14M
-251.49%-297.34M
21.51%-72.59M
-6.74%-98.81M
-6.74%-98.81M
-18.48%-95.55M
-23.11%-84.59M
Securities and investments
34.83%3.28B
24.43%3.01B
24.43%3.01B
16.43%2.88B
18.13%2.9B
-3.17%2.43B
-3.80%2.42B
-3.80%2.42B
-6.02%2.47B
10.89%2.45B
-Held to maturity securities
29.46%537.35M
3.16%436.97M
3.16%436.97M
3.10%447.64M
2.84%457.88M
-8.46%415.08M
-8.57%423.59M
-8.57%423.59M
-9.15%434.17M
47.81%445.22M
-Short term investments
35.93%2.74B
28.95%2.57B
28.95%2.57B
19.28%2.43B
21.52%2.44B
-2.01%2.02B
-2.73%2B
-2.73%2B
-5.32%2.04B
5.06%2.01B
Federal home loan bank stock
-6.92%128.4M
-24.60%95.62M
-24.60%95.62M
-18.03%107.28M
9.34%160.82M
3.66%137.94M
33.39%126.82M
33.39%126.82M
67.63%130.88M
86.47%147.08M
Bank owned life insurance
10.19%269.47M
10.17%267.63M
10.17%267.63M
10.14%265.82M
10.09%264.04M
2.60%244.56M
2.10%242.92M
2.10%242.92M
1.66%241.35M
1.62%239.84M
Net PPE
4.94%248.92M
4.59%247.9M
4.59%247.9M
3.03%244.53M
3.14%243.47M
-1.31%237.2M
-2.49%237.01M
-2.49%237.01M
-2.82%237.34M
-4.50%236.05M
-Gross PPE
----
7.67%422.38M
7.67%422.38M
----
----
----
0.83%392.28M
0.83%392.28M
----
----
-Accumulated depreciation
----
-12.38%-174.48M
-12.38%-174.48M
----
----
----
-6.37%-155.27M
-6.37%-155.27M
----
----
Foreclosed assets
-51.38%3.32M
10.07%4.57M
10.07%4.57M
-49.72%4.21M
-51.90%4.25M
11.49%6.82M
-37.77%4.15M
-37.77%4.15M
-13.31%8.37M
-7.18%8.83M
Goodwill and other intangible assets
44.39%449.21M
44.36%448.43M
44.36%448.43M
46.33%452.26M
47.00%453.54M
0.76%311.1M
0.52%310.62M
0.52%310.62M
-0.06%309.07M
-0.32%308.52M
-Goodwill
35.92%414.72M
34.98%411.36M
34.98%411.36M
35.84%412.21M
35.57%411.4M
0.55%305.13M
0.43%304.75M
0.43%304.75M
0.00%303.46M
0.00%303.46M
-Other intangible assets
476.97%34.49M
531.54%37.07M
531.54%37.07M
613.51%40.04M
731.62%42.14M
12.58%5.98M
5.71%5.87M
5.71%5.87M
-3.19%5.61M
-16.16%5.07M
Other assets
15.09%520.84M
-19.74%466.98M
-19.74%466.98M
2.45%562.9M
20.98%561.18M
-9.32%452.56M
15.29%581.79M
15.29%581.79M
29.88%549.42M
25.14%463.86M
Total assets
22.28%27.68B
24.85%28.06B
24.85%28.06B
26.73%28.58B
35.01%30.14B
4.55%22.64B
8.20%22.47B
8.20%22.47B
11.87%22.55B
8.58%22.33B
Liabilities
Total deposits
33.67%21.44B
33.00%21.37B
33.00%21.37B
31.42%21.18B
34.54%21.34B
0.49%16.04B
0.25%16.07B
0.25%16.07B
0.97%16.12B
-3.23%15.86B
Payables
----
----
----
----
----
-91.30%1.48M
----
----
-75.17%1.09M
--2.67M
-Total tax payable
----
----
----
----
----
-91.30%1.48M
----
----
-75.17%1.09M
--2.67M
Long term debt and capital lease obligation
-24.78%2.91B
-9.09%3.32B
-9.09%3.32B
8.78%4.08B
44.46%5.49B
26.02%3.88B
71.76%3.65B
71.76%3.65B
120.59%3.75B
120.93%3.8B
-Long term debt
-24.78%2.91B
-9.09%3.32B
-9.09%3.32B
8.78%4.08B
44.46%5.49B
26.02%3.88B
71.76%3.65B
71.76%3.65B
120.59%3.75B
120.93%3.8B
Other liabilities
13.40%309.41M
12.15%367.75M
12.15%367.75M
24.85%358.34M
35.82%389.11M
-1.64%272.85M
-3.55%327.92M
-3.55%327.92M
6.81%287.01M
11.07%286.48M
Total liabilities
22.17%24.66B
25.00%25.06B
25.00%25.06B
27.10%25.62B
36.43%27.22B
4.44%20.19B
8.38%20.05B
8.38%20.05B
12.37%20.16B
8.61%19.95B
Shareholders'equity
Share capital
4.02%454.25M
4.02%454.01M
4.02%454.01M
4.01%453.94M
3.99%453.84M
0.07%436.68M
0.04%436.47M
0.04%436.47M
0.05%436.46M
0.04%436.41M
-common stock
12.85%154.25M
12.85%154.01M
12.85%154.01M
12.81%153.94M
12.77%153.84M
0.22%136.68M
0.14%136.47M
0.14%136.47M
0.14%136.46M
0.12%136.41M
-Preferred stock
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
Paid-in capital
27.43%2.15B
27.44%2.15B
27.44%2.15B
27.32%2.15B
27.30%2.14B
0.11%1.69B
0.04%1.69B
0.04%1.69B
0.02%1.69B
0.01%1.68B
Retained earnings
4.98%2B
5.95%1.98B
5.95%1.98B
5.72%1.94B
5.98%1.9B
9.01%1.91B
10.60%1.87B
10.60%1.87B
12.39%1.84B
12.86%1.8B
Less: Treasury stock
0.81%1.64B
1.66%1.64B
1.66%1.64B
1.64%1.64B
2.88%1.63B
2.35%1.63B
1.39%1.61B
1.39%1.61B
1.40%1.61B
-0.39%1.58B
Gains losses not affecting retained earnings
13.48%53.35M
19.03%55.85M
19.03%55.85M
15.98%54.92M
18.51%51.94M
12.67%47.01M
-10.59%46.92M
-10.59%46.92M
-12.68%47.35M
-38.69%43.82M
Total stockholders'equity
23.23%3.02B
23.65%3B
23.65%3B
23.57%2.96B
23.02%2.92B
5.49%2.45B
6.69%2.43B
6.69%2.43B
7.84%2.39B
8.37%2.38B
Total equity
23.23%3.02B
23.65%3B
23.65%3B
23.57%2.96B
23.02%2.92B
5.49%2.45B
6.69%2.43B
6.69%2.43B
7.84%2.39B
8.37%2.38B
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)Dec 31, 2024(FY)Sep 30, 2024(Q4)Sep 30, 2024(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold 31.71%1.51B142.81%2.38B142.81%2.38B118.71%2.49B34.62%1.51B77.25%1.14B43.38%980.65M43.38%980.65M87.62%1.14B-42.57%1.12B
-Cash and cash equivalents 31.71%1.51B142.81%2.38B142.81%2.38B118.71%2.49B34.62%1.51B77.25%1.14B43.38%980.65M43.38%980.65M87.62%1.14B-42.57%1.12B
Receivables 18.53%103.15M132.58%222.08M132.58%222.08M183.72%232.45M231.76%262.32M15.54%87.02M49.49%95.48M49.49%95.48M46.34%81.93M43.08%79.07M
-Accounts receivable 18.53%103.15M18.19%102.83M18.19%102.83M26.22%103.41M46.05%115.48M15.54%87.02M36.21%87M36.21%87M46.34%81.93M53.71%79.07M
-Other receivables ----1,306.39%119.25M1,306.39%119.25M--129.04M--146.83M------8.48M--8.48M--------
Net loan 19.77%21.06B19.68%20.92B19.68%20.92B22.77%21.34B37.73%23.79B3.48%17.58B8.46%17.48B8.46%17.48B11.69%17.38B14.42%17.27B
-Gross loan 19.22%21.27B20.26%21.35B20.26%21.35B23.69%21.84B38.52%24.29B3.32%17.84B8.39%17.75B8.39%17.75B11.64%17.66B14.34%17.53B
-Allowance for loans and lease losses 14.05%204.52M14.98%203.75M14.98%203.75M14.46%203.82M13.62%201.58M1.43%179.32M2.55%177.21M2.55%177.21M4.15%178.07M3.52%177.42M
-Unearned income -----132.26%-229.49M-132.26%-229.49M-207.84%-294.14M-251.49%-297.34M21.51%-72.59M-6.74%-98.81M-6.74%-98.81M-18.48%-95.55M-23.11%-84.59M
Securities and investments 34.83%3.28B24.43%3.01B24.43%3.01B16.43%2.88B18.13%2.9B-3.17%2.43B-3.80%2.42B-3.80%2.42B-6.02%2.47B10.89%2.45B
-Held to maturity securities 29.46%537.35M3.16%436.97M3.16%436.97M3.10%447.64M2.84%457.88M-8.46%415.08M-8.57%423.59M-8.57%423.59M-9.15%434.17M47.81%445.22M
-Short term investments 35.93%2.74B28.95%2.57B28.95%2.57B19.28%2.43B21.52%2.44B-2.01%2.02B-2.73%2B-2.73%2B-5.32%2.04B5.06%2.01B
Federal home loan bank stock -6.92%128.4M-24.60%95.62M-24.60%95.62M-18.03%107.28M9.34%160.82M3.66%137.94M33.39%126.82M33.39%126.82M67.63%130.88M86.47%147.08M
Bank owned life insurance 10.19%269.47M10.17%267.63M10.17%267.63M10.14%265.82M10.09%264.04M2.60%244.56M2.10%242.92M2.10%242.92M1.66%241.35M1.62%239.84M
Net PPE 4.94%248.92M4.59%247.9M4.59%247.9M3.03%244.53M3.14%243.47M-1.31%237.2M-2.49%237.01M-2.49%237.01M-2.82%237.34M-4.50%236.05M
-Gross PPE ----7.67%422.38M7.67%422.38M------------0.83%392.28M0.83%392.28M--------
-Accumulated depreciation -----12.38%-174.48M-12.38%-174.48M-------------6.37%-155.27M-6.37%-155.27M--------
Foreclosed assets -51.38%3.32M10.07%4.57M10.07%4.57M-49.72%4.21M-51.90%4.25M11.49%6.82M-37.77%4.15M-37.77%4.15M-13.31%8.37M-7.18%8.83M
Goodwill and other intangible assets 44.39%449.21M44.36%448.43M44.36%448.43M46.33%452.26M47.00%453.54M0.76%311.1M0.52%310.62M0.52%310.62M-0.06%309.07M-0.32%308.52M
-Goodwill 35.92%414.72M34.98%411.36M34.98%411.36M35.84%412.21M35.57%411.4M0.55%305.13M0.43%304.75M0.43%304.75M0.00%303.46M0.00%303.46M
-Other intangible assets 476.97%34.49M531.54%37.07M531.54%37.07M613.51%40.04M731.62%42.14M12.58%5.98M5.71%5.87M5.71%5.87M-3.19%5.61M-16.16%5.07M
Other assets 15.09%520.84M-19.74%466.98M-19.74%466.98M2.45%562.9M20.98%561.18M-9.32%452.56M15.29%581.79M15.29%581.79M29.88%549.42M25.14%463.86M
Total assets 22.28%27.68B24.85%28.06B24.85%28.06B26.73%28.58B35.01%30.14B4.55%22.64B8.20%22.47B8.20%22.47B11.87%22.55B8.58%22.33B
Liabilities
Total deposits 33.67%21.44B33.00%21.37B33.00%21.37B31.42%21.18B34.54%21.34B0.49%16.04B0.25%16.07B0.25%16.07B0.97%16.12B-3.23%15.86B
Payables ---------------------91.30%1.48M---------75.17%1.09M--2.67M
-Total tax payable ---------------------91.30%1.48M---------75.17%1.09M--2.67M
Long term debt and capital lease obligation -24.78%2.91B-9.09%3.32B-9.09%3.32B8.78%4.08B44.46%5.49B26.02%3.88B71.76%3.65B71.76%3.65B120.59%3.75B120.93%3.8B
-Long term debt -24.78%2.91B-9.09%3.32B-9.09%3.32B8.78%4.08B44.46%5.49B26.02%3.88B71.76%3.65B71.76%3.65B120.59%3.75B120.93%3.8B
Other liabilities 13.40%309.41M12.15%367.75M12.15%367.75M24.85%358.34M35.82%389.11M-1.64%272.85M-3.55%327.92M-3.55%327.92M6.81%287.01M11.07%286.48M
Total liabilities 22.17%24.66B25.00%25.06B25.00%25.06B27.10%25.62B36.43%27.22B4.44%20.19B8.38%20.05B8.38%20.05B12.37%20.16B8.61%19.95B
Shareholders'equity
Share capital 4.02%454.25M4.02%454.01M4.02%454.01M4.01%453.94M3.99%453.84M0.07%436.68M0.04%436.47M0.04%436.47M0.05%436.46M0.04%436.41M
-common stock 12.85%154.25M12.85%154.01M12.85%154.01M12.81%153.94M12.77%153.84M0.22%136.68M0.14%136.47M0.14%136.47M0.14%136.46M0.12%136.41M
-Preferred stock 0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M
Paid-in capital 27.43%2.15B27.44%2.15B27.44%2.15B27.32%2.15B27.30%2.14B0.11%1.69B0.04%1.69B0.04%1.69B0.02%1.69B0.01%1.68B
Retained earnings 4.98%2B5.95%1.98B5.95%1.98B5.72%1.94B5.98%1.9B9.01%1.91B10.60%1.87B10.60%1.87B12.39%1.84B12.86%1.8B
Less: Treasury stock 0.81%1.64B1.66%1.64B1.66%1.64B1.64%1.64B2.88%1.63B2.35%1.63B1.39%1.61B1.39%1.61B1.40%1.61B-0.39%1.58B
Gains losses not affecting retained earnings 13.48%53.35M19.03%55.85M19.03%55.85M15.98%54.92M18.51%51.94M12.67%47.01M-10.59%46.92M-10.59%46.92M-12.68%47.35M-38.69%43.82M
Total stockholders'equity 23.23%3.02B23.65%3B23.65%3B23.57%2.96B23.02%2.92B5.49%2.45B6.69%2.43B6.69%2.43B7.84%2.39B8.37%2.38B
Total equity 23.23%3.02B23.65%3B23.65%3B23.57%2.96B23.02%2.92B5.49%2.45B6.69%2.43B6.69%2.43B7.84%2.39B8.37%2.38B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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