US Stock MarketDetailed Quotes

Broadway Financial (BYFC)

Watchlist
  • 8.000
  • +0.210+2.69%
Close Apr 24 16:00 ET
  • 8.000
  • 0.0000.00%
Post 20:01 ET
74.43MMarket Cap-2.48P/E (TTM)

Broadway Financial (BYFC) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
94.10%-184K
63.68%-2.67M
-37.48%3.82M
-69.22%3.01M
62.72%-4.35M
-141.09%-3.12M
-305.96%-7.36M
223.94%6.12M
687.21%9.78M
-406.87%-11.66M
Net income from continuing operations
-1,385.38%-24.8M
-19.98%1.05M
-4,541.26%-23.89M
189.15%746K
-1,456.07%-2.69M
-55.67%1.93M
-46.12%1.31M
525.58%538K
4.88%258K
-110.85%-173K
Operating gains losses
1,096.49%24.17M
----
----
----
----
---2.43M
----
----
----
----
Depreciation and amortization
----
----
-30.89%179K
-25.91%183K
-27.02%181K
-1.94%760K
175.00%6K
-2.26%259K
-0.40%247K
-8.15%248K
Other non cashItems
----
----
300.00%44K
107.32%170K
-165.12%-114K
-69.68%-470K
-43.65%-520K
-98.26%11K
115.27%82K
-377.78%-43K
Change in working capital
94.44%-179K
108.09%413K
-79.00%1.04M
-73.21%2.38M
66.43%-4.01M
-278.23%-3.22M
-673.71%-5.11M
353.98%4.96M
444.22%8.87M
-597.79%-11.95M
-Change in receivables
----
----
-4.65%-540K
25.61%515K
11.00%-623K
93.47%-63K
5,815.38%743K
36.37%-516K
290.48%410K
-184.55%-700K
-Change in payables and accrued expense
121.72%63K
107.38%167K
234.78%1M
-57.73%1.27M
-77.92%-2.38M
-112.68%-290K
-408.59%-2.26M
-79.48%299K
255.26%3.01M
-165.65%-1.34M
-Change in deferred charges
----
----
43.48%-156K
198.92%275K
-1,961.11%-1.11M
-116.72%-194K
-28.74%414K
-333.90%-276K
-157.41%-278K
-109.49%-54K
-Change in other current assets
91.73%-242K
67.21%-1.4M
-86.49%737K
-94.51%315K
101.03%102K
-332.35%-2.93M
-936.01%-4.26M
1,558.05%5.46M
1,000.00%5.73M
-23,569.05%-9.86M
Cash from discontinued operating activities
Operating cash flow
94.10%-184K
63.68%-2.67M
-37.48%3.82M
-69.22%3.01M
62.72%-4.35M
-141.09%-3.12M
-305.96%-7.36M
223.94%6.12M
687.21%9.78M
-406.87%-11.66M
Investing cash flow
Cash flow from continuing investing activities
-54,944.20%-122.85M
27.60%25.04M
237.63%31.85M
121.53%28.3M
145.17%31.6M
102.85%224K
141.43%19.62M
-266.20%-23.14M
Net investment purchase and sale
----
----
-319.05%-63.65M
-71.59%9.35M
-11.92%20.4M
536.73%117.13M
305.48%32.02M
690.24%29.06M
864.01%32.89M
579.29%23.16M
Net proceeds payment for loan
----
----
-27.79%-36.81M
212.33%14.85M
113.98%6.45M
39.22%-89.2M
98.60%-1.07M
-153.22%-28.8M
73.01%-13.22M
-376.25%-46.11M
Net PPE purchase and sale
----
----
-265.52%-106K
71.11%-13K
72.73%-15K
33.65%-138K
90.43%-9K
64.63%-29K
-55.17%-45K
-1,733.33%-55K
Net other investing changes
----
----
---22.29M
--855K
3,791.91%5.02M
117.90%519K
163.84%655K
--0
--0
-209.09%-136K
Cash from discontinued investing activities
Investing cash flow
----
----
-54,944.20%-122.85M
27.60%25.04M
237.63%31.85M
121.53%28.3M
145.17%31.6M
102.85%224K
141.43%19.62M
-266.20%-23.14M
Financing cash flow
Cash flow from continuing financing activities
-142.32%-2.82M
-412.45%-24.67M
11,697.41%109.24M
-113.40%-14.33M
-2,135.24%-73.07M
-100.55%-1.17M
-95.07%7.89M
-86.19%926K
-122.29%-6.72M
-120.35%-3.27M
Change in federal funds and securities sold for repurchase
----
----
-28.05%12.33M
-1,839.20%-16.99M
889.74%14.17M
-168.62%-6.87M
-890.94%-23.19M
286.56%17.14M
122.05%977K
-124.02%-1.79M
Increase decrease in deposit
----
----
432.54%50.28M
375.43%22.38M
142.20%31.14M
1,566.11%62.76M
555.12%73.15M
-159.52%-15.12M
29.22%-8.13M
143.78%12.86M
Net issuance payments of debt
----
----
13,913.12%47.38M
-3,901.40%-18.97M
-720.65%-117.63M
-160.19%-127.86M
-174.28%-113.68M
98.48%-343K
-98.80%499K
-135.42%-14.33M
Net commonstock issuance
----
----
----
----
----
--0
----
----
----
----
Cash dividends paid
-91.45%-3M
0.00%-750K
0.00%-750K
-1,019.40%-750K
---750K
---1.57M
---750K
---750K
---67K
--0
Proceeds from stock option exercised by employees
-13.68%347K
----
----
----
----
--402K
----
----
----
----
Net other financing activities
---170K
----
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-142.32%-2.82M
-412.45%-24.67M
11,697.41%109.24M
-113.40%-14.33M
-2,135.24%-73.07M
-100.55%-1.17M
-95.07%7.89M
-86.19%926K
-122.29%-6.72M
-120.35%-3.27M
Net cash flow
Beginning cash position
-5.53%73.17M
-79.68%19.73M
-67.14%29.51M
-76.47%15.79M
-41.67%61.37M
380.95%77.46M
745.12%97.08M
736.09%89.81M
126.40%67.12M
553.18%105.2M
Current changes in cash
29.82%-3.01M
908.27%38.63M
-234.64%-9.78M
-39.54%13.72M
-19.69%-45.57M
-104.81%-4.29M
-95.91%3.83M
875.30%7.27M
220.02%22.69M
-381.13%-38.07M
End cash position
-4.11%70.17M
-4.11%70.17M
-79.68%19.73M
-67.14%29.51M
-76.47%15.79M
-30.44%73.17M
-30.44%73.17M
745.12%97.08M
736.09%89.81M
126.40%67.12M
Free cash flow
94.10%-184K
64.89%-2.54M
-38.92%3.72M
-69.21%3M
62.77%-4.36M
-142.24%-3.12M
-307.82%-7.23M
237.04%6.09M
674.51%9.74M
-408.56%-11.72M
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, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 94.10%-184K63.68%-2.67M-37.48%3.82M-69.22%3.01M62.72%-4.35M-141.09%-3.12M-305.96%-7.36M223.94%6.12M687.21%9.78M-406.87%-11.66M
Net income from continuing operations -1,385.38%-24.8M-19.98%1.05M-4,541.26%-23.89M189.15%746K-1,456.07%-2.69M-55.67%1.93M-46.12%1.31M525.58%538K4.88%258K-110.85%-173K
Operating gains losses 1,096.49%24.17M-------------------2.43M----------------
Depreciation and amortization ---------30.89%179K-25.91%183K-27.02%181K-1.94%760K175.00%6K-2.26%259K-0.40%247K-8.15%248K
Other non cashItems --------300.00%44K107.32%170K-165.12%-114K-69.68%-470K-43.65%-520K-98.26%11K115.27%82K-377.78%-43K
Change in working capital 94.44%-179K108.09%413K-79.00%1.04M-73.21%2.38M66.43%-4.01M-278.23%-3.22M-673.71%-5.11M353.98%4.96M444.22%8.87M-597.79%-11.95M
-Change in receivables ---------4.65%-540K25.61%515K11.00%-623K93.47%-63K5,815.38%743K36.37%-516K290.48%410K-184.55%-700K
-Change in payables and accrued expense 121.72%63K107.38%167K234.78%1M-57.73%1.27M-77.92%-2.38M-112.68%-290K-408.59%-2.26M-79.48%299K255.26%3.01M-165.65%-1.34M
-Change in deferred charges --------43.48%-156K198.92%275K-1,961.11%-1.11M-116.72%-194K-28.74%414K-333.90%-276K-157.41%-278K-109.49%-54K
-Change in other current assets 91.73%-242K67.21%-1.4M-86.49%737K-94.51%315K101.03%102K-332.35%-2.93M-936.01%-4.26M1,558.05%5.46M1,000.00%5.73M-23,569.05%-9.86M
Cash from discontinued operating activities
Operating cash flow 94.10%-184K63.68%-2.67M-37.48%3.82M-69.22%3.01M62.72%-4.35M-141.09%-3.12M-305.96%-7.36M223.94%6.12M687.21%9.78M-406.87%-11.66M
Investing cash flow
Cash flow from continuing investing activities -54,944.20%-122.85M27.60%25.04M237.63%31.85M121.53%28.3M145.17%31.6M102.85%224K141.43%19.62M-266.20%-23.14M
Net investment purchase and sale ---------319.05%-63.65M-71.59%9.35M-11.92%20.4M536.73%117.13M305.48%32.02M690.24%29.06M864.01%32.89M579.29%23.16M
Net proceeds payment for loan ---------27.79%-36.81M212.33%14.85M113.98%6.45M39.22%-89.2M98.60%-1.07M-153.22%-28.8M73.01%-13.22M-376.25%-46.11M
Net PPE purchase and sale ---------265.52%-106K71.11%-13K72.73%-15K33.65%-138K90.43%-9K64.63%-29K-55.17%-45K-1,733.33%-55K
Net other investing changes -----------22.29M--855K3,791.91%5.02M117.90%519K163.84%655K--0--0-209.09%-136K
Cash from discontinued investing activities
Investing cash flow ---------54,944.20%-122.85M27.60%25.04M237.63%31.85M121.53%28.3M145.17%31.6M102.85%224K141.43%19.62M-266.20%-23.14M
Financing cash flow
Cash flow from continuing financing activities -142.32%-2.82M-412.45%-24.67M11,697.41%109.24M-113.40%-14.33M-2,135.24%-73.07M-100.55%-1.17M-95.07%7.89M-86.19%926K-122.29%-6.72M-120.35%-3.27M
Change in federal funds and securities sold for repurchase ---------28.05%12.33M-1,839.20%-16.99M889.74%14.17M-168.62%-6.87M-890.94%-23.19M286.56%17.14M122.05%977K-124.02%-1.79M
Increase decrease in deposit --------432.54%50.28M375.43%22.38M142.20%31.14M1,566.11%62.76M555.12%73.15M-159.52%-15.12M29.22%-8.13M143.78%12.86M
Net issuance payments of debt --------13,913.12%47.38M-3,901.40%-18.97M-720.65%-117.63M-160.19%-127.86M-174.28%-113.68M98.48%-343K-98.80%499K-135.42%-14.33M
Net commonstock issuance ----------------------0----------------
Cash dividends paid -91.45%-3M0.00%-750K0.00%-750K-1,019.40%-750K---750K---1.57M---750K---750K---67K--0
Proceeds from stock option exercised by employees -13.68%347K------------------402K----------------
Net other financing activities ---170K------------------------------------
Cash from discontinued financing activities
Financing cash flow -142.32%-2.82M-412.45%-24.67M11,697.41%109.24M-113.40%-14.33M-2,135.24%-73.07M-100.55%-1.17M-95.07%7.89M-86.19%926K-122.29%-6.72M-120.35%-3.27M
Net cash flow
Beginning cash position -5.53%73.17M-79.68%19.73M-67.14%29.51M-76.47%15.79M-41.67%61.37M380.95%77.46M745.12%97.08M736.09%89.81M126.40%67.12M553.18%105.2M
Current changes in cash 29.82%-3.01M908.27%38.63M-234.64%-9.78M-39.54%13.72M-19.69%-45.57M-104.81%-4.29M-95.91%3.83M875.30%7.27M220.02%22.69M-381.13%-38.07M
End cash position -4.11%70.17M-4.11%70.17M-79.68%19.73M-67.14%29.51M-76.47%15.79M-30.44%73.17M-30.44%73.17M745.12%97.08M736.09%89.81M126.40%67.12M
Free cash flow 94.10%-184K64.89%-2.54M-38.92%3.72M-69.21%3M62.77%-4.36M-142.24%-3.12M-307.82%-7.23M237.04%6.09M674.51%9.74M-408.56%-11.72M
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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