Coinbase
COIN
Ecopetrol
EC
Tesla
TSLA
MARA Holdings
MARA
NVIDIA
NVDA
(FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (Q1)Sep 30, 2021 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | (Q3)Mar 31, 2021 | (Q2)Dec 31, 2020 | (Q1)Sep 30, 2020 | (FY)Jun 30, 2020 | (Q4)Jun 30, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -21.77%8.65M | -62.80%11.06M | 107.37%48.31M | 93.74%29.74M | 93.74%29.74M | 265.47%39.84M | 337.22%32.47M | 305.93%23.3M | 236.62%15.35M | 236.62%15.35M |
-Cash and cash equivalents | -21.77%8.65M | -62.80%11.06M | 107.37%48.31M | 93.74%29.74M | 93.74%29.74M | 265.47%39.84M | 337.22%32.47M | 305.93%23.3M | 236.62%15.35M | 236.62%15.35M |
Receivables | 31.52%3.04M | 8.82%2.31M | -10.45%2.53M | -14.18%2.12M | -14.18%2.12M | -5.67%2.15M | 9.38%2.47M | 0.81%2.83M | 16.65%2.47M | 16.65%2.47M |
-Accounts receivable | 31.52%3.04M | 8.82%2.31M | -10.45%2.53M | -14.18%2.12M | -14.18%2.12M | -5.67%2.15M | 9.38%2.47M | 0.81%2.83M | 16.65%2.47M | 16.65%2.47M |
Net loan | 7.69%419.72M | 11.44%389.76M | -0.67%339.92M | 2.36%349.74M | 2.36%349.74M | 6.25%338.83M | 8.06%338.06M | 12.24%342.21M | 13.86%341.68M | 13.86%341.68M |
-Gross loan | 7.72%425.35M | 10.98%394.85M | -0.56%345.23M | 2.57%355.8M | 2.57%355.8M | 6.22%343.96M | 8.08%343.11M | 12.19%347.19M | 14.19%346.9M | 14.19%346.9M |
-Allowance for loans and lease losses | 9.25%6.32M | 11.32%5.78M | 6.69%5.31M | 5.33%5.19M | 5.33%5.19M | 4.75%5.14M | 9.11%5.05M | 8.48%4.98M | 10.93%4.93M | 10.93%4.93M |
-Unearned income | 0.29%686.33K | 178.96%684.34K | ---- | -200.80%-866.67K | -200.80%-866.67K | ---- | ---- | ---- | -139.38%-288.12K | -139.38%-288.12K |
Securities and investments | -5.49%30.24M | 44.55%32M | 27.74%21.62M | 20.88%22.14M | 20.88%22.14M | 47.82%28.06M | 8.06%20.24M | 126.68%16.92M | 90.05%18.31M | 90.05%18.31M |
-Available for sale securities | ---- | ---- | ---- | ---- | ---- | --29.93K | --29.93K | --29.93K | ---- | ---- |
-Held to maturity securities | -38.45%7.98K | -45.80%12.96K | -56.74%20.73K | -55.23%23.92K | -55.23%23.92K | -46.53%32.49K | -43.85%35.77K | -82.06%47.91K | -80.25%53.42K | -80.25%53.42K |
-Short term investments | -5.48%30.23M | 44.65%31.98M | 28.21%21.6M | 21.11%22.11M | 21.11%22.11M | 47.96%27.99M | 8.07%20.18M | 134.01%16.85M | 94.97%18.26M | 94.97%18.26M |
Federal home loan bank stock | 26.34%2.49M | -21.76%1.97M | 27.80%2.3M | 40.79%2.52M | 40.79%2.52M | 113.22%3.04M | 117.04%3.02M | 58.85%1.8M | 125.24%1.79M | 125.24%1.79M |
Bank owned life insurance | 2.81%3.94M | 2.91%3.83M | 3.02%3.75M | 3.06%3.73M | 3.06%3.73M | 3.10%3.7M | 3.14%3.67M | 3.23%3.64M | 106.60%3.62M | 106.60%3.62M |
Net PPE | -6.47%8.16M | 22.62%8.73M | 28.05%8.45M | 9.51%7.12M | 9.51%7.12M | 5.79%6.95M | 0.67%6.63M | 1.12%6.6M | 1.36%6.5M | 1.36%6.5M |
-Gross PPE | -2.19%14.73M | 17.92%15.06M | ---- | 10.14%12.77M | 10.14%12.77M | ---- | ---- | ---- | 1.41%11.6M | 1.41%11.6M |
-Accumulated depreciation | -3.71%-6.57M | -12.00%-6.33M | ---- | -10.95%-5.65M | -10.95%-5.65M | ---- | ---- | ---- | -1.49%-5.1M | -1.49%-5.1M |
Foreclosed assets | ---- | ---- | --0 | -88.50%4.05K | -88.50%4.05K | -98.55%4.05K | 0.00%4.05K | -98.18%4.05K | -84.21%35.25K | -84.21%35.25K |
Goodwill and other intangible assets | -11.93%1.27M | -10.66%1.45M | -9.87%1.58M | -9.63%1.62M | -9.63%1.62M | -9.41%1.66M | -9.19%1.71M | -8.98%1.75M | -8.79%1.79M | -8.79%1.79M |
-Other intangible assets | -11.93%1.27M | -10.66%1.45M | -9.87%1.58M | -9.63%1.62M | -9.63%1.62M | -9.41%1.66M | -9.19%1.71M | -8.98%1.75M | -8.79%1.79M | -8.79%1.79M |
Other assets | -12.75%2.62M | -2.60%3M | 2.38%2.74M | 28.14%3.08M | 28.14%3.08M | 32.42%3.26M | 73.20%3.4M | 30.98%2.67M | 4.61%2.41M | 4.61%2.41M |
Total assets | 5.77%481.05M | 7.63%454.83M | 7.41%431.98M | 7.15%422.58M | 7.15%422.58M | 16.41%427.97M | 15.44%412.13M | 19.46%402.17M | 19.43%394.39M | 19.43%394.39M |
Liabilities | ||||||||||
Total deposits | 4.07%412.27M | 8.44%396.16M | 9.88%374.1M | 11.28%365.33M | 11.28%365.33M | 21.29%370.59M | 20.49%352.74M | 20.87%340.46M | 15.86%328.29M | 15.86%328.29M |
Federal funds purchased and securities sold under agreement to repurchase | -18.14%2.89M | --3.53M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Payables | 12.62%2.86M | -26.93%2.54M | -8.81%2.78M | 15.48%3.47M | 15.48%3.47M | 31.38%3.41M | -14.98%2.49M | 23.12%3.05M | -4.09%3.01M | -4.09%3.01M |
-Accounts payable | 12.62%2.86M | -26.93%2.54M | -8.81%2.78M | 15.48%3.47M | 15.48%3.47M | 31.38%3.41M | -14.98%2.49M | 23.12%3.05M | -4.09%3.01M | -4.09%3.01M |
Current debt and capital lease obligation | -62.46%685K | 107.37%1.82M | --1.23M | --880K | --880K | 708.00%1.62M | -89.63%200K | --0 | --0 | --0 |
-Current debt | -62.46%685K | 107.37%1.82M | --1.23M | --880K | --880K | 708.00%1.62M | -89.63%200K | --0 | --0 | --0 |
Long term debt and capital lease obligation | 150.00%15M | -45.45%6M | -42.11%11M | -54.17%11M | -54.17%11M | -47.62%11M | -21.32%16M | 56.62%19M | 380.00%24M | 380.00%24M |
-Long term debt | 150.00%15M | -45.45%6M | -42.11%11M | -54.17%11M | -54.17%11M | -47.62%11M | -21.32%16M | 56.62%19M | 380.00%24M | 380.00%24M |
Other liabilities | 22.47%884.81K | 19.98%722.45K | -3.23%334.51K | 1.00%602.13K | 1.00%602.13K | -2.56%635.32K | 5.25%676.46K | 21.87%345.68K | 12.03%596.18K | 12.03%596.18K |
Total liabilities | 5.80%434.58M | 7.73%410.77M | 7.33%389.44M | 7.14%381.29M | 7.14%381.29M | 17.35%387.24M | 16.80%372.1M | 21.36%362.85M | 21.88%355.89M | 21.88%355.89M |
Shareholders'equity | ||||||||||
Share capital | -3.15%26.66K | -2.52%27.53K | -4.66%27.92K | -4.24%28.24K | -4.24%28.24K | -3.17%28.7K | -5.84%28.88K | -5.09%29.29K | -7.86%29.5K | -7.86%29.5K |
-common stock | -3.15%26.66K | -2.52%27.53K | -4.66%27.92K | -4.24%28.24K | -4.24%28.24K | -3.17%28.7K | -5.84%28.88K | -5.09%29.29K | -7.86%29.5K | -7.86%29.5K |
Paid-in capital | -6.34%17.48M | -4.59%18.67M | -7.87%19.17M | -6.99%19.56M | -6.99%19.56M | -4.95%20.13M | -9.05%20.33M | -7.75%20.8M | -12.13%21.03M | -12.13%21.03M |
Retained earnings | 13.31%30.54M | 20.54%26.95M | 25.15%23.99M | 23.54%22.36M | 23.54%22.36M | 21.47%21.22M | 18.70%20.31M | 18.06%19.17M | 17.01%18.1M | 17.01%18.1M |
Gains losses not affecting retained earnings | -7.22%-968.07K | -617.58%-902.86K | -50.29%141.5K | -42.03%174.44K | -42.03%174.44K | 1,616.72%231.27K | 14,100.85%263.92K | 3,275.95%284.63K | 11,348.07%300.89K | 11,348.07%300.89K |
Other equity interest | 9.97%-613.17K | 18.22%-681.1K | 19.20%-784.42K | 13.65%-832.83K | 13.65%-832.83K | 12.96%-881.23K | 14.67%-904.85K | 14.24%-970.81K | 19.98%-964.47K | 19.98%-964.47K |
Total stockholders'equity | 5.46%46.46M | 6.70%44.06M | 8.20%42.54M | 7.26%41.29M | 7.26%41.29M | 8.18%40.72M | 4.15%40.02M | 4.35%39.32M | 0.71%38.5M | 0.71%38.5M |
Total equity | 5.46%46.46M | 6.70%44.06M | 8.20%42.54M | 7.26%41.29M | 7.26%41.29M | 8.18%40.72M | 4.15%40.02M | 4.35%39.32M | 0.71%38.5M | 0.71%38.5M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
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