US Stock MarketDetailed Quotes

WAL Western Alliance Bancorp

Watchlist
  • 81.160
  • -2.940-3.50%
Close Mar 4 16:00 ET
  • 81.160
  • 0.0000.00%
Post 20:01 ET
8.96BMarket Cap11.45P/E (TTM)

Western Alliance Bancorp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-734.45%-2.74B
-282.21%-621.7M
-87.47%-1.07B
-63.05%-745.8M
-185.78%-306.5M
-114.64%-328.6M
-57.05%341.2M
-216.05%-569.7M
-235.69%-457.4M
-42.64%357.3M
Net income from continuing operations
9.04%787.7M
46.65%216.9M
-7.76%199.8M
-10.25%193.6M
24.75%177.4M
-31.68%722.4M
-49.52%147.9M
-17.95%216.6M
-17.10%215.7M
-40.77%142.2M
Operating gains losses
-46.22%-17.4M
70.61%-7.2M
-8,700.00%-8.8M
-117.83%-2.3M
550.00%900K
-75.00%-11.9M
-19.51%-24.5M
-102.63%-100K
27.72%12.9M
0.00%-200K
Depreciation and amortization
36.99%118.5M
43.60%35.9M
80.89%28.4M
17.60%27.4M
19.11%26.8M
15.95%86.5M
13.12%25M
-16.93%15.7M
36.26%23.3M
36.36%22.5M
Deferred tax
149.80%12.4M
224.64%22.4M
-231.37%-33.8M
231.06%21.1M
149.09%2.7M
63.70%-24.9M
105.93%6.9M
-117.41%-10.2M
65.00%-16.1M
-115.67%-5.5M
Other non cashItems
-244.20%-3.54B
-497.76%-904.9M
-59.83%-1.23B
-38.69%-948.2M
-340.54%-465.2M
-190.84%-1.03B
-63.45%227.5M
-723.41%-766.8M
-1,080.92%-683.7M
-39.22%193.4M
Cash from discontinued operating activities
Operating cash flow
-734.45%-2.74B
-282.21%-621.7M
-87.47%-1.07B
-63.05%-745.8M
-185.78%-306.5M
-114.64%-328.6M
-57.05%341.2M
-216.05%-569.7M
-235.69%-457.4M
-42.64%357.3M
Investing cash flow
Cash flow from continuing investing activities
-176.37%-5.97B
131.24%587.2M
38.90%-394.9M
-246.56%-2.51B
-170.78%-3.65B
83.56%-2.16B
-482.85%-1.88B
83.55%-646.3M
124.15%1.71B
48.14%-1.35B
Net investment purchase and sale
44.89%-2.18B
178.56%955M
206.43%1.2B
-11.76%-1.07B
-402.15%-3.27B
-83.05%-3.95B
-4,630.35%-1.22B
-785.33%-1.13B
32.75%-955.7M
-11.39%-650.3M
Net proceeds payment for loan
-444.78%-3.82B
27.13%-597.3M
-387.41%-1.03B
-164.75%-1.67B
47.61%-525.7M
109.91%1.11B
-245.41%-819.7M
109.45%357.4M
142.93%2.57B
48.85%-1B
Net PPE purchase and sale
26.68%-83.8M
2.20%-26.7M
15.65%-22.1M
49.85%-16.2M
34.04%-18.8M
18.94%-114.3M
51.94%-27.3M
28.80%-26.2M
-52.36%-32.3M
-8.78%-28.5M
Net intangibles purchase and sale
13.79%908.3M
39.38%254.5M
67.22%253M
84.74%238.5M
-51.58%162.3M
103.67%798.2M
1,782.47%182.6M
722.28%151.3M
-62.00%129.1M
1,290.87%335.2M
Net business purchase and sale
--0
----
----
----
----
--0
----
----
----
----
Net other investing changes
-114,142.86%-798.3M
--1.7M
----
----
----
--700K
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
-176.37%-5.97B
131.23%587.2M
38.83%-394.9M
-246.56%-2.51B
-170.78%-3.65B
83.56%-2.16B
-482.99%-1.88B
83.56%-645.6M
124.15%1.71B
48.14%-1.35B
Financing cash flow
Cash flow from continuing financing activities
271.76%11.23B
502.62%1.54B
-100.88%-22.5M
238.02%3.79B
65.32%5.93B
-73.53%3.02B
79.37%-382M
-19.03%2.56B
-145.39%-2.74B
-11.70%3.59B
Change in federal funds and securities sold for repurchase
--0
--0
--0
----
----
---19.2M
---483M
---2B
----
----
Increase decrease in deposit
551.43%11B
-263.03%-1.71B
-44.65%1.8B
16.26%4.02B
213.85%6.9B
-72.00%1.69B
153.79%1.05B
72.97%3.25B
122.44%3.45B
-233.19%-6.06B
Net issuance payments of debt
-73.13%411.9M
464.83%3.29B
-231.20%-1.77B
97.84%-186.2M
-109.45%-916M
-71.64%1.53B
-764.19%-901.3M
5.87%1.35B
-290.65%-8.61B
1,950.31%9.7B
Net commonstock issuance
0.00%100K
----
----
----
----
-99.94%100K
----
----
----
----
Cash dividends paid
-3.09%-176.8M
-2.97%-45M
-3.05%-43.9M
-3.29%-44M
-3.05%-43.9M
-3.19%-171.5M
-3.07%-43.7M
-0.95%-42.6M
-3.65%-42.6M
-5.19%-42.6M
Net other financing activities
20.91%-8.7M
--0
---1.1M
200.00%200K
27.10%-7.8M
40.54%-11M
0.00%-100K
--0
0.00%-200K
38.15%-10.7M
Cash from discontinued financing activities
Financing cash flow
271.76%11.23B
502.62%1.54B
-100.88%-22.5M
238.02%3.79B
65.32%5.93B
-73.53%3.02B
79.37%-382M
-19.03%2.56B
-145.39%-2.74B
-11.70%3.59B
Net cash flow
Beginning cash position
51.05%1.58B
-25.88%2.59B
89.37%4.08B
-2.46%3.55B
51.05%1.58B
102.05%1.04B
117.27%3.5B
14.18%2.15B
39.85%3.64B
102.05%1.04B
Current changes in cash
372.97%2.52B
178.27%1.5B
-210.54%-1.49B
135.50%527.6M
-23.96%1.97B
1.08%532.7M
-239.32%-1.92B
586.36%1.34B
-107.41%-1.49B
24.45%2.6B
End cash position
159.86%4.1B
159.86%4.1B
-25.88%2.59B
89.37%4.08B
-2.46%3.55B
51.05%1.58B
51.05%1.58B
117.27%3.5B
14.18%2.15B
39.85%3.64B
Free cash flow
-538.02%-2.83B
-306.56%-648.4M
-82.93%-1.09B
-55.61%-762M
-198.94%-325.3M
-121.05%-442.9M
-57.44%313.9M
-231.23%-595.9M
-255.02%-489.7M
-44.90%328.8M
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)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -734.45%-2.74B-282.21%-621.7M-87.47%-1.07B-63.05%-745.8M-185.78%-306.5M-114.64%-328.6M-57.05%341.2M-216.05%-569.7M-235.69%-457.4M-42.64%357.3M
Net income from continuing operations 9.04%787.7M46.65%216.9M-7.76%199.8M-10.25%193.6M24.75%177.4M-31.68%722.4M-49.52%147.9M-17.95%216.6M-17.10%215.7M-40.77%142.2M
Operating gains losses -46.22%-17.4M70.61%-7.2M-8,700.00%-8.8M-117.83%-2.3M550.00%900K-75.00%-11.9M-19.51%-24.5M-102.63%-100K27.72%12.9M0.00%-200K
Depreciation and amortization 36.99%118.5M43.60%35.9M80.89%28.4M17.60%27.4M19.11%26.8M15.95%86.5M13.12%25M-16.93%15.7M36.26%23.3M36.36%22.5M
Deferred tax 149.80%12.4M224.64%22.4M-231.37%-33.8M231.06%21.1M149.09%2.7M63.70%-24.9M105.93%6.9M-117.41%-10.2M65.00%-16.1M-115.67%-5.5M
Other non cashItems -244.20%-3.54B-497.76%-904.9M-59.83%-1.23B-38.69%-948.2M-340.54%-465.2M-190.84%-1.03B-63.45%227.5M-723.41%-766.8M-1,080.92%-683.7M-39.22%193.4M
Cash from discontinued operating activities
Operating cash flow -734.45%-2.74B-282.21%-621.7M-87.47%-1.07B-63.05%-745.8M-185.78%-306.5M-114.64%-328.6M-57.05%341.2M-216.05%-569.7M-235.69%-457.4M-42.64%357.3M
Investing cash flow
Cash flow from continuing investing activities -176.37%-5.97B131.24%587.2M38.90%-394.9M-246.56%-2.51B-170.78%-3.65B83.56%-2.16B-482.85%-1.88B83.55%-646.3M124.15%1.71B48.14%-1.35B
Net investment purchase and sale 44.89%-2.18B178.56%955M206.43%1.2B-11.76%-1.07B-402.15%-3.27B-83.05%-3.95B-4,630.35%-1.22B-785.33%-1.13B32.75%-955.7M-11.39%-650.3M
Net proceeds payment for loan -444.78%-3.82B27.13%-597.3M-387.41%-1.03B-164.75%-1.67B47.61%-525.7M109.91%1.11B-245.41%-819.7M109.45%357.4M142.93%2.57B48.85%-1B
Net PPE purchase and sale 26.68%-83.8M2.20%-26.7M15.65%-22.1M49.85%-16.2M34.04%-18.8M18.94%-114.3M51.94%-27.3M28.80%-26.2M-52.36%-32.3M-8.78%-28.5M
Net intangibles purchase and sale 13.79%908.3M39.38%254.5M67.22%253M84.74%238.5M-51.58%162.3M103.67%798.2M1,782.47%182.6M722.28%151.3M-62.00%129.1M1,290.87%335.2M
Net business purchase and sale --0------------------0----------------
Net other investing changes -114,142.86%-798.3M--1.7M--------------700K--0------------
Cash from discontinued investing activities
Investing cash flow -176.37%-5.97B131.23%587.2M38.83%-394.9M-246.56%-2.51B-170.78%-3.65B83.56%-2.16B-482.99%-1.88B83.56%-645.6M124.15%1.71B48.14%-1.35B
Financing cash flow
Cash flow from continuing financing activities 271.76%11.23B502.62%1.54B-100.88%-22.5M238.02%3.79B65.32%5.93B-73.53%3.02B79.37%-382M-19.03%2.56B-145.39%-2.74B-11.70%3.59B
Change in federal funds and securities sold for repurchase --0--0--0-----------19.2M---483M---2B--------
Increase decrease in deposit 551.43%11B-263.03%-1.71B-44.65%1.8B16.26%4.02B213.85%6.9B-72.00%1.69B153.79%1.05B72.97%3.25B122.44%3.45B-233.19%-6.06B
Net issuance payments of debt -73.13%411.9M464.83%3.29B-231.20%-1.77B97.84%-186.2M-109.45%-916M-71.64%1.53B-764.19%-901.3M5.87%1.35B-290.65%-8.61B1,950.31%9.7B
Net commonstock issuance 0.00%100K-----------------99.94%100K----------------
Cash dividends paid -3.09%-176.8M-2.97%-45M-3.05%-43.9M-3.29%-44M-3.05%-43.9M-3.19%-171.5M-3.07%-43.7M-0.95%-42.6M-3.65%-42.6M-5.19%-42.6M
Net other financing activities 20.91%-8.7M--0---1.1M200.00%200K27.10%-7.8M40.54%-11M0.00%-100K--00.00%-200K38.15%-10.7M
Cash from discontinued financing activities
Financing cash flow 271.76%11.23B502.62%1.54B-100.88%-22.5M238.02%3.79B65.32%5.93B-73.53%3.02B79.37%-382M-19.03%2.56B-145.39%-2.74B-11.70%3.59B
Net cash flow
Beginning cash position 51.05%1.58B-25.88%2.59B89.37%4.08B-2.46%3.55B51.05%1.58B102.05%1.04B117.27%3.5B14.18%2.15B39.85%3.64B102.05%1.04B
Current changes in cash 372.97%2.52B178.27%1.5B-210.54%-1.49B135.50%527.6M-23.96%1.97B1.08%532.7M-239.32%-1.92B586.36%1.34B-107.41%-1.49B24.45%2.6B
End cash position 159.86%4.1B159.86%4.1B-25.88%2.59B89.37%4.08B-2.46%3.55B51.05%1.58B51.05%1.58B117.27%3.5B14.18%2.15B39.85%3.64B
Free cash flow -538.02%-2.83B-306.56%-648.4M-82.93%-1.09B-55.61%-762M-198.94%-325.3M-121.05%-442.9M-57.44%313.9M-231.23%-595.9M-255.02%-489.7M-44.90%328.8M
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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