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

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  • 17.120
  • -0.143-0.83%
Close Jan 7 16:00 ET
  • 17.120
  • 0.0000.00%
Post 16:01 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
(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
(Q1)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
105.29%439.23M
16.58%96.62M
213.35%63.15M
277.47%169.2M
66.81%110.26M
-20.30%213.96M
-14.61%82.88M
-77.14%20.15M
-20.54%44.83M
146.27%66.1M
Net income from continuing operations
-22.29%200.04M
21.77%61.14M
4.51%64.56M
-75.90%15.89M
-26.48%58.45M
8.93%257.43M
-31.59%50.21M
-2.40%61.78M
33.58%65.93M
58.13%79.51M
Operating gains losses
-144.27%-2.9M
22.67%-116K
95.25%-43K
814.00%914K
-1,487.83%-3.65M
-313.31%-1.19M
-113.01%-150K
-53.56%-906K
-76.69%100K
47.25%-230K
Depreciation and amortization
483.82%134.1M
-922.22%-60.05M
-178.17%-11.57M
30,516.02%227.82M
-1,469.81%-22.1M
-64.14%22.97M
-56.14%7.3M
-9.12%14.8M
-103.23%-749K
-79.70%1.61M
Other non cashItems
----
----
----
----
----
40.72%-821K
--0
--0
--0
---821K
Change in working capital
171.41%81.31M
3,258.43%93.9M
109.71%6.45M
-256.91%-94.3M
517.14%75.26M
-178.41%-113.85M
-169.94%-2.97M
-1,172.25%-66.42M
-42.81%-26.42M
45.06%-18.04M
-Change in receivables
196.11%28.62M
186.06%10.09M
1,166.84%30.53M
-444.34%-20.43M
173.68%8.43M
-218.21%-29.78M
-48.62%-11.72M
-1,212.84%-2.86M
6.55%-3.75M
-514.34%-11.44M
-Change in payables and accrued expense
-721.98%-88.39M
-173.88%-19.96M
-1,511.88%-20.33M
-3.66%-31.01M
-83.85%-17.09M
-114.50%-10.75M
-49.18%27.02M
-95.22%1.44M
-238.03%-29.92M
69.81%-9.29M
-Change in other current assets
319.78%148M
732.25%105.59M
96.88%-1.98M
-524.06%-41.16M
2,629.83%85.55M
32.76%-67.34M
57.85%-16.7M
-184.57%-63.48M
127.89%9.71M
191.58%3.13M
-Change in other working capital
-16.01%-6.93M
-15.76%-1.81M
-17.54%-1.78M
30.70%-1.7M
-273.35%-1.64M
-7.70%-5.98M
-11.53%-1.57M
-9.26%-1.51M
-80.28%-2.46M
68.58%-439K
Cash from discontinued operating activities
Operating cash flow
105.29%439.23M
16.58%96.62M
213.35%63.15M
277.47%169.2M
66.81%110.26M
-20.30%213.96M
-14.61%82.88M
-77.14%20.15M
-20.54%44.83M
146.27%66.1M
Investing cash flow
Cash flow from continuing investing activities
338.56%3.29B
497.08%362.95M
1,782.65%2.52B
334.16%480.02M
92.38%-71.03M
44.73%-1.38B
82.09%-91.4M
84.35%-149.48M
57.40%-204.99M
-70.46%-932.04M
Net investment purchase and sale
-93.30%4.81M
-452.43%-97.59M
179.07%23.01M
-38.00%53.59M
294.35%25.8M
141.53%71.76M
-59.64%27.69M
93.84%-29.09M
414.13%86.44M
-106.20%-13.28M
Net proceeds payment for loan
284.94%2.61B
502.38%491.37M
1,955.86%2.45B
10.71%-246.88M
90.69%-81.95M
39.36%-1.41B
78.30%-122.12M
72.69%-131.79M
46.76%-276.51M
-15.64%-879.95M
Net PPE purchase and sale
-67.04%-23.34M
-94.41%-7.2M
17.99%-4.86M
-25.64%-3.51M
-400.58%-7.77M
-18.93%-13.97M
-20.31%-3.7M
-99.23%-5.93M
4.64%-2.79M
43.91%-1.55M
Net business purchase and sale
24,176.56%623.58M
--0
-178.98%-2.19M
--626.52M
---750K
---2.59M
---1.81M
---785K
--0
--0
Net other investing changes
424.61%73.84M
-377.02%-23.64M
195.64%53.54M
583.54%55.06M
70.74%-11.12M
-233.53%-22.75M
165.45%8.53M
197.83%18.11M
---11.39M
---38M
Cash from discontinued investing activities
Investing cash flow
338.56%3.29B
497.08%362.95M
1,782.65%2.52B
334.16%480.02M
92.38%-71.03M
44.73%-1.38B
82.09%-91.4M
84.35%-149.48M
57.40%-204.99M
-70.46%-932.04M
Financing cash flow
Cash flow from continuing financing activities
-259.24%-2.33B
-279.46%-570.97M
-1,158.10%-1.59B
-145.54%-288.22M
-84.91%124.89M
78.59%1.46B
-130.72%-150.47M
131.78%150.43M
28.72%632.85M
167.24%827.84M
Increase decrease in deposit
-896.16%-324.51M
486.18%193.46M
-157.43%-149.01M
-240.52%-337.41M
54.64%-31.54M
-91.64%40.76M
-178.33%-50.1M
161.05%259.48M
-120.28%-99.09M
-119.32%-69.54M
Net issuance payments of debt
-224.62%-1.9B
-665.00%-765M
-2,697.74%-1.4B
-94.71%38.38M
-76.32%225M
276.54%1.53B
-123.53%-100M
-150.00%-50M
--725M
--950M
Net commonstock issuance
11.14%-27.07M
-1,823.08%-250K
66.75%-9.52M
-122.22%-240K
-887.50%-17.06M
-834.45%-30.46M
72.92%-13K
-37,061.04%-28.61M
33.33%-108K
41.88%-1.73M
Cash dividends paid
-13.36%-88.89M
-24.95%-24.52M
-25.11%-24.59M
-1.21%-20.14M
-2.10%-19.65M
-2.91%-78.42M
-2.11%-19.62M
-2.27%-19.65M
-3.58%-19.9M
-3.70%-19.24M
Proceeds from stock option exercised by employees
388.07%6.18M
1,182.38%2.91M
4,512.50%738K
318.99%1.08M
89.41%1.45M
-30.55%1.27M
-17.45%227K
-91.44%16K
-51.59%258K
-7.61%765K
Net other financing activities
251.34%8.78M
17.85%22.43M
3.19%-10.45M
12.82%30.11M
-2.72%-33.31M
-17.66%2.5M
-3.87%19.03M
-17.67%-10.8M
21.99%26.69M
-10.05%-32.43M
Cash from discontinued financing activities
Financing cash flow
-259.24%-2.33B
-279.46%-570.97M
-1,158.10%-1.59B
-145.54%-288.22M
-84.91%124.89M
78.59%1.46B
-130.72%-150.47M
131.78%150.43M
28.72%632.85M
167.24%827.84M
Net cash flow
Beginning cash position
43.38%980.65M
118.71%2.49B
34.62%1.51B
77.25%1.14B
43.38%980.65M
-67.29%683.97M
87.62%1.14B
-42.57%1.12B
-65.66%645.86M
-67.29%683.97M
Current changes in cash
372.04%1.4B
29.93%-111.4M
4,576.68%986.73M
-23.63%361M
530.74%164.13M
121.09%296.68M
-307.72%-158.99M
101.57%21.1M
607.00%472.68M
81.87%-38.1M
End cash position
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
-65.66%645.86M
Free cash flow
108.43%414.55M
13.15%89.42M
318.01%58.29M
292.01%164.77M
59.77%102.07M
-22.51%198.89M
-15.90%79.03M
-83.63%13.95M
-21.35%42.03M
165.41%63.88M
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
--
--
--
--
(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(Q1)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 105.29%439.23M16.58%96.62M213.35%63.15M277.47%169.2M66.81%110.26M-20.30%213.96M-14.61%82.88M-77.14%20.15M-20.54%44.83M146.27%66.1M
Net income from continuing operations -22.29%200.04M21.77%61.14M4.51%64.56M-75.90%15.89M-26.48%58.45M8.93%257.43M-31.59%50.21M-2.40%61.78M33.58%65.93M58.13%79.51M
Operating gains losses -144.27%-2.9M22.67%-116K95.25%-43K814.00%914K-1,487.83%-3.65M-313.31%-1.19M-113.01%-150K-53.56%-906K-76.69%100K47.25%-230K
Depreciation and amortization 483.82%134.1M-922.22%-60.05M-178.17%-11.57M30,516.02%227.82M-1,469.81%-22.1M-64.14%22.97M-56.14%7.3M-9.12%14.8M-103.23%-749K-79.70%1.61M
Other non cashItems --------------------40.72%-821K--0--0--0---821K
Change in working capital 171.41%81.31M3,258.43%93.9M109.71%6.45M-256.91%-94.3M517.14%75.26M-178.41%-113.85M-169.94%-2.97M-1,172.25%-66.42M-42.81%-26.42M45.06%-18.04M
-Change in receivables 196.11%28.62M186.06%10.09M1,166.84%30.53M-444.34%-20.43M173.68%8.43M-218.21%-29.78M-48.62%-11.72M-1,212.84%-2.86M6.55%-3.75M-514.34%-11.44M
-Change in payables and accrued expense -721.98%-88.39M-173.88%-19.96M-1,511.88%-20.33M-3.66%-31.01M-83.85%-17.09M-114.50%-10.75M-49.18%27.02M-95.22%1.44M-238.03%-29.92M69.81%-9.29M
-Change in other current assets 319.78%148M732.25%105.59M96.88%-1.98M-524.06%-41.16M2,629.83%85.55M32.76%-67.34M57.85%-16.7M-184.57%-63.48M127.89%9.71M191.58%3.13M
-Change in other working capital -16.01%-6.93M-15.76%-1.81M-17.54%-1.78M30.70%-1.7M-273.35%-1.64M-7.70%-5.98M-11.53%-1.57M-9.26%-1.51M-80.28%-2.46M68.58%-439K
Cash from discontinued operating activities
Operating cash flow 105.29%439.23M16.58%96.62M213.35%63.15M277.47%169.2M66.81%110.26M-20.30%213.96M-14.61%82.88M-77.14%20.15M-20.54%44.83M146.27%66.1M
Investing cash flow
Cash flow from continuing investing activities 338.56%3.29B497.08%362.95M1,782.65%2.52B334.16%480.02M92.38%-71.03M44.73%-1.38B82.09%-91.4M84.35%-149.48M57.40%-204.99M-70.46%-932.04M
Net investment purchase and sale -93.30%4.81M-452.43%-97.59M179.07%23.01M-38.00%53.59M294.35%25.8M141.53%71.76M-59.64%27.69M93.84%-29.09M414.13%86.44M-106.20%-13.28M
Net proceeds payment for loan 284.94%2.61B502.38%491.37M1,955.86%2.45B10.71%-246.88M90.69%-81.95M39.36%-1.41B78.30%-122.12M72.69%-131.79M46.76%-276.51M-15.64%-879.95M
Net PPE purchase and sale -67.04%-23.34M-94.41%-7.2M17.99%-4.86M-25.64%-3.51M-400.58%-7.77M-18.93%-13.97M-20.31%-3.7M-99.23%-5.93M4.64%-2.79M43.91%-1.55M
Net business purchase and sale 24,176.56%623.58M--0-178.98%-2.19M--626.52M---750K---2.59M---1.81M---785K--0--0
Net other investing changes 424.61%73.84M-377.02%-23.64M195.64%53.54M583.54%55.06M70.74%-11.12M-233.53%-22.75M165.45%8.53M197.83%18.11M---11.39M---38M
Cash from discontinued investing activities
Investing cash flow 338.56%3.29B497.08%362.95M1,782.65%2.52B334.16%480.02M92.38%-71.03M44.73%-1.38B82.09%-91.4M84.35%-149.48M57.40%-204.99M-70.46%-932.04M
Financing cash flow
Cash flow from continuing financing activities -259.24%-2.33B-279.46%-570.97M-1,158.10%-1.59B-145.54%-288.22M-84.91%124.89M78.59%1.46B-130.72%-150.47M131.78%150.43M28.72%632.85M167.24%827.84M
Increase decrease in deposit -896.16%-324.51M486.18%193.46M-157.43%-149.01M-240.52%-337.41M54.64%-31.54M-91.64%40.76M-178.33%-50.1M161.05%259.48M-120.28%-99.09M-119.32%-69.54M
Net issuance payments of debt -224.62%-1.9B-665.00%-765M-2,697.74%-1.4B-94.71%38.38M-76.32%225M276.54%1.53B-123.53%-100M-150.00%-50M--725M--950M
Net commonstock issuance 11.14%-27.07M-1,823.08%-250K66.75%-9.52M-122.22%-240K-887.50%-17.06M-834.45%-30.46M72.92%-13K-37,061.04%-28.61M33.33%-108K41.88%-1.73M
Cash dividends paid -13.36%-88.89M-24.95%-24.52M-25.11%-24.59M-1.21%-20.14M-2.10%-19.65M-2.91%-78.42M-2.11%-19.62M-2.27%-19.65M-3.58%-19.9M-3.70%-19.24M
Proceeds from stock option exercised by employees 388.07%6.18M1,182.38%2.91M4,512.50%738K318.99%1.08M89.41%1.45M-30.55%1.27M-17.45%227K-91.44%16K-51.59%258K-7.61%765K
Net other financing activities 251.34%8.78M17.85%22.43M3.19%-10.45M12.82%30.11M-2.72%-33.31M-17.66%2.5M-3.87%19.03M-17.67%-10.8M21.99%26.69M-10.05%-32.43M
Cash from discontinued financing activities
Financing cash flow -259.24%-2.33B-279.46%-570.97M-1,158.10%-1.59B-145.54%-288.22M-84.91%124.89M78.59%1.46B-130.72%-150.47M131.78%150.43M28.72%632.85M167.24%827.84M
Net cash flow
Beginning cash position 43.38%980.65M118.71%2.49B34.62%1.51B77.25%1.14B43.38%980.65M-67.29%683.97M87.62%1.14B-42.57%1.12B-65.66%645.86M-67.29%683.97M
Current changes in cash 372.04%1.4B29.93%-111.4M4,576.68%986.73M-23.63%361M530.74%164.13M121.09%296.68M-307.72%-158.99M101.57%21.1M607.00%472.68M81.87%-38.1M
End cash position 142.81%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-65.66%645.86M
Free cash flow 108.43%414.55M13.15%89.42M318.01%58.29M292.01%164.77M59.77%102.07M-22.51%198.89M-15.90%79.03M-83.63%13.95M-21.35%42.03M165.41%63.88M
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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