US Stock MarketDetailed Quotes

East West Bancorp (EWBC)

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  • 119.410
  • -1.070-0.89%
Close May 15 16:00 ET
16.36BMarket Cap11.93P/E (TTM)

East West Bancorp (EWBC) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
54.25%428.63M
6.38%1.5B
42.64%713.41M
-39.98%231.74M
7.52%278.67M
4.37%277.89M
-0.93%1.41B
-10.96%500.13M
0.71%386.12M
0.88%259.17M
Net income from continuing operations
23.26%357.8M
13.69%1.33B
21.55%356.27M
23.14%368.39M
7.64%310.25M
1.82%290.27M
0.38%1.17B
22.67%293.12M
3.97%299.17M
-7.63%288.23M
Operating gains losses
-370.23%-616K
53.46%-963K
67.78%-29K
60.69%-57K
58.21%-746K
-167.35%-131K
-130.15%-2.07M
97.17%-90K
-1,308.33%-145K
-25,600.00%-1.79M
Depreciation and amortization
26.20%62.39M
0.39%213.16M
-12.36%54.23M
-36.06%28.16M
48.48%81.34M
-4.27%49.44M
21.91%212.34M
9,293.16%61.87M
-35.50%44.04M
-25.98%54.78M
Deferred tax
98.67%-299K
45.56%-7.78M
1,322.36%18.37M
51.30%-1.86M
10.84%-1.84M
-225.17%-22.45M
70.93%-14.28M
97.01%-1.5M
-25,346.67%-3.82M
-520.86%-2.06M
Other non cashItems
1,768.97%3.39M
-558.54%-9.1M
-270.86%-4.26M
-105.13%-83K
-80.10%-4.55M
-150.75%-203K
-82.58%1.99M
-80.19%2.5M
152.02%1.62M
-3,470.67%-2.53M
Change in working capital
54.61%-47.87M
-48.45%-265.28M
312.33%239.39M
-3,196.90%-235.14M
-28.48%-164.08M
-3.46%-105.44M
-336.22%-178.7M
-81.19%58.06M
65.23%-7.13M
20.21%-127.71M
-Change in receivables
-265.14%-19.82M
-252.65%-97.31M
4,626.43%233.77M
-414.68%-205.92M
-66.34%-137.16M
-84.17%12M
143.58%63.74M
-97.70%4.95M
174.54%65.44M
58.43%-82.46M
-Change in payables and accrued expense
76.12%-28.05M
30.72%-167.97M
-89.42%5.62M
59.74%-29.22M
40.50%-26.93M
33.92%-117.44M
-330.23%-242.44M
-43.30%53.11M
-207.87%-72.57M
-218.11%-45.25M
Cash from discontinued operating activities
Operating cash flow
54.25%428.63M
6.38%1.5B
42.64%713.41M
-39.98%231.74M
7.52%278.67M
4.37%277.89M
-0.93%1.41B
-10.96%500.13M
0.71%386.12M
0.88%259.17M
Investing cash flow
Cash flow from continuing investing activities
-10.79%-2.26B
13.01%-5.48B
-2.60%-1.56B
36.35%-951.75M
33.87%-934.21M
-8.76%-2.04B
-48.22%-6.3B
-12.31%-1.52B
3.99%-1.5B
-99.71%-1.41B
Proceeds payment in interest bearing deposits in bank
-58.09%6.48M
186.34%33.12M
-21.42%52.59M
140.16%36.56M
-275,092.31%-71.5M
208.46%15.46M
-129.84%-38.35M
885.18%66.92M
-206,829.55%-91.05M
100.37%26K
Net investment purchase and sale
37.10%-958.41M
50.99%-2.42B
51.56%-503.08M
74.23%-255.25M
76.28%-142.63M
34.25%-1.52B
-1,938.62%-4.95B
-25,318.53%-1.04B
-327.92%-990.37M
-374.97%-601.22M
Net proceeds payment for loan
-128.89%-1.22B
-92.96%-3.14B
-101.19%-1.11B
-52.23%-763.23M
10.21%-736.24M
-319.11%-534.31M
59.88%-1.63B
59.48%-549.66M
53.59%-501.37M
13.47%-819.93M
Net PPE purchase and sale
-3,852.35%-99.05M
----
----
----
----
---2.51M
----
----
----
----
Net other investing changes
97.22%18.89M
229.77%54.67M
-77.49%1.28M
9.58%30.16M
62.59%13.65M
111.44%9.58M
50.17%-42.13M
-72.57%5.68M
127.78%27.53M
610.40%8.4M
Cash from discontinued investing activities
Investing cash flow
-10.79%-2.26B
13.01%-5.48B
-2.60%-1.56B
36.35%-951.75M
33.87%-934.21M
-8.76%-2.04B
-48.22%-6.3B
-12.31%-1.52B
3.99%-1.5B
-99.71%-1.41B
Financing cash flow
Cash flow from continuing financing activities
4,637.15%2.07B
-47.59%2.9B
-78.51%305.35M
-35.83%1.02B
23.19%1.62B
-103.80%-45.68M
39.50%5.53B
70.03%1.42B
346.49%1.59B
43.14%1.31B
Change in federal funds and securities sold for repurchase
82.90%494.03M
--0
----
----
---2.27B
--270.11M
--0
--0
--0
--0
Increase decrease in deposit
1,535.27%1.82B
-45.65%3.86B
-70.25%451.31M
-6.07%1.57B
36.23%1.97B
-105.11%-126.5M
4,820.38%7.11B
54.04%1.52B
388.87%1.67B
47.01%1.45B
Net issuance payments of debt
-0.48%-210K
55.18%-500.83M
-4,664.93%-10.05M
-1,208,813.11%-2.49B
10,410.85%2B
99.98%-209K
-124.84%-1.12B
15.94%-211K
4.63%-206K
-8,796.79%-19.4M
Net commonstock issuance
-19.20%-123M
14.64%-134.83M
93.69%-1.31M
-27,614.74%-26.33M
90.23%-4M
-7.33%-103.19M
-49.12%-157.96M
74.94%-20.73M
48.92%-95K
-3,213.99%-40.99M
Cash dividends paid
-32.67%-113.96M
-8.29%-334.04M
-8.19%-82.6M
-8.56%-82.8M
-8.08%-82.75M
-8.31%-85.89M
-12.36%-308.48M
-12.76%-76.35M
-12.26%-76.27M
-12.36%-76.56M
Proceeds from stock option exercised by employees
----
6.25%3.21M
3.33%1.49M
--0
----
----
-5.77%3.02M
-12.28%1.44M
--0
----
Cash from discontinued financing activities
Financing cash flow
4,637.15%2.07B
-47.59%2.9B
-78.51%305.35M
-35.83%1.02B
23.19%1.62B
-103.80%-45.68M
39.50%5.53B
70.03%1.42B
346.49%1.59B
43.14%1.31B
Net cash flow
Beginning cash position
-20.24%4.19B
13.78%5.25B
-3.41%4.69B
1.01%4.41B
-18.11%3.45B
13.78%5.25B
32.55%4.61B
6.55%4.86B
-31.55%4.37B
-29.04%4.21B
Current changes in cash
113.64%246.01M
-267.33%-1.08B
-232.21%-536.32M
-37.53%302.5M
509.30%959.5M
-347.07%-1.8B
-43.52%643.99M
745.80%405.65M
126.60%484.22M
-66.16%157.48M
Effect of exchange rate changes
488.17%4.72M
281.94%14.98M
302.06%30.26M
-279.49%-18.25M
183.38%2.16M
196.40%803K
-17.57%-8.23M
-356.21%-14.98M
177.38%10.17M
88.07%-2.59M
End cash position
28.73%4.44B
-20.24%4.19B
-20.24%4.19B
-3.41%4.69B
1.01%4.41B
-18.11%3.45B
13.78%5.25B
13.78%5.25B
6.55%4.86B
-31.55%4.37B
Free cash flow
19.68%329.58M
6.38%1.5B
42.64%713.41M
-39.98%231.74M
8.49%281.17M
3.43%275.38M
-0.93%1.41B
-10.96%500.13M
0.71%386.12M
0.88%259.17M
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)Mar 31, 2026(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 54.25%428.63M6.38%1.5B42.64%713.41M-39.98%231.74M7.52%278.67M4.37%277.89M-0.93%1.41B-10.96%500.13M0.71%386.12M0.88%259.17M
Net income from continuing operations 23.26%357.8M13.69%1.33B21.55%356.27M23.14%368.39M7.64%310.25M1.82%290.27M0.38%1.17B22.67%293.12M3.97%299.17M-7.63%288.23M
Operating gains losses -370.23%-616K53.46%-963K67.78%-29K60.69%-57K58.21%-746K-167.35%-131K-130.15%-2.07M97.17%-90K-1,308.33%-145K-25,600.00%-1.79M
Depreciation and amortization 26.20%62.39M0.39%213.16M-12.36%54.23M-36.06%28.16M48.48%81.34M-4.27%49.44M21.91%212.34M9,293.16%61.87M-35.50%44.04M-25.98%54.78M
Deferred tax 98.67%-299K45.56%-7.78M1,322.36%18.37M51.30%-1.86M10.84%-1.84M-225.17%-22.45M70.93%-14.28M97.01%-1.5M-25,346.67%-3.82M-520.86%-2.06M
Other non cashItems 1,768.97%3.39M-558.54%-9.1M-270.86%-4.26M-105.13%-83K-80.10%-4.55M-150.75%-203K-82.58%1.99M-80.19%2.5M152.02%1.62M-3,470.67%-2.53M
Change in working capital 54.61%-47.87M-48.45%-265.28M312.33%239.39M-3,196.90%-235.14M-28.48%-164.08M-3.46%-105.44M-336.22%-178.7M-81.19%58.06M65.23%-7.13M20.21%-127.71M
-Change in receivables -265.14%-19.82M-252.65%-97.31M4,626.43%233.77M-414.68%-205.92M-66.34%-137.16M-84.17%12M143.58%63.74M-97.70%4.95M174.54%65.44M58.43%-82.46M
-Change in payables and accrued expense 76.12%-28.05M30.72%-167.97M-89.42%5.62M59.74%-29.22M40.50%-26.93M33.92%-117.44M-330.23%-242.44M-43.30%53.11M-207.87%-72.57M-218.11%-45.25M
Cash from discontinued operating activities
Operating cash flow 54.25%428.63M6.38%1.5B42.64%713.41M-39.98%231.74M7.52%278.67M4.37%277.89M-0.93%1.41B-10.96%500.13M0.71%386.12M0.88%259.17M
Investing cash flow
Cash flow from continuing investing activities -10.79%-2.26B13.01%-5.48B-2.60%-1.56B36.35%-951.75M33.87%-934.21M-8.76%-2.04B-48.22%-6.3B-12.31%-1.52B3.99%-1.5B-99.71%-1.41B
Proceeds payment in interest bearing deposits in bank -58.09%6.48M186.34%33.12M-21.42%52.59M140.16%36.56M-275,092.31%-71.5M208.46%15.46M-129.84%-38.35M885.18%66.92M-206,829.55%-91.05M100.37%26K
Net investment purchase and sale 37.10%-958.41M50.99%-2.42B51.56%-503.08M74.23%-255.25M76.28%-142.63M34.25%-1.52B-1,938.62%-4.95B-25,318.53%-1.04B-327.92%-990.37M-374.97%-601.22M
Net proceeds payment for loan -128.89%-1.22B-92.96%-3.14B-101.19%-1.11B-52.23%-763.23M10.21%-736.24M-319.11%-534.31M59.88%-1.63B59.48%-549.66M53.59%-501.37M13.47%-819.93M
Net PPE purchase and sale -3,852.35%-99.05M-------------------2.51M----------------
Net other investing changes 97.22%18.89M229.77%54.67M-77.49%1.28M9.58%30.16M62.59%13.65M111.44%9.58M50.17%-42.13M-72.57%5.68M127.78%27.53M610.40%8.4M
Cash from discontinued investing activities
Investing cash flow -10.79%-2.26B13.01%-5.48B-2.60%-1.56B36.35%-951.75M33.87%-934.21M-8.76%-2.04B-48.22%-6.3B-12.31%-1.52B3.99%-1.5B-99.71%-1.41B
Financing cash flow
Cash flow from continuing financing activities 4,637.15%2.07B-47.59%2.9B-78.51%305.35M-35.83%1.02B23.19%1.62B-103.80%-45.68M39.50%5.53B70.03%1.42B346.49%1.59B43.14%1.31B
Change in federal funds and securities sold for repurchase 82.90%494.03M--0-----------2.27B--270.11M--0--0--0--0
Increase decrease in deposit 1,535.27%1.82B-45.65%3.86B-70.25%451.31M-6.07%1.57B36.23%1.97B-105.11%-126.5M4,820.38%7.11B54.04%1.52B388.87%1.67B47.01%1.45B
Net issuance payments of debt -0.48%-210K55.18%-500.83M-4,664.93%-10.05M-1,208,813.11%-2.49B10,410.85%2B99.98%-209K-124.84%-1.12B15.94%-211K4.63%-206K-8,796.79%-19.4M
Net commonstock issuance -19.20%-123M14.64%-134.83M93.69%-1.31M-27,614.74%-26.33M90.23%-4M-7.33%-103.19M-49.12%-157.96M74.94%-20.73M48.92%-95K-3,213.99%-40.99M
Cash dividends paid -32.67%-113.96M-8.29%-334.04M-8.19%-82.6M-8.56%-82.8M-8.08%-82.75M-8.31%-85.89M-12.36%-308.48M-12.76%-76.35M-12.26%-76.27M-12.36%-76.56M
Proceeds from stock option exercised by employees ----6.25%3.21M3.33%1.49M--0---------5.77%3.02M-12.28%1.44M--0----
Cash from discontinued financing activities
Financing cash flow 4,637.15%2.07B-47.59%2.9B-78.51%305.35M-35.83%1.02B23.19%1.62B-103.80%-45.68M39.50%5.53B70.03%1.42B346.49%1.59B43.14%1.31B
Net cash flow
Beginning cash position -20.24%4.19B13.78%5.25B-3.41%4.69B1.01%4.41B-18.11%3.45B13.78%5.25B32.55%4.61B6.55%4.86B-31.55%4.37B-29.04%4.21B
Current changes in cash 113.64%246.01M-267.33%-1.08B-232.21%-536.32M-37.53%302.5M509.30%959.5M-347.07%-1.8B-43.52%643.99M745.80%405.65M126.60%484.22M-66.16%157.48M
Effect of exchange rate changes 488.17%4.72M281.94%14.98M302.06%30.26M-279.49%-18.25M183.38%2.16M196.40%803K-17.57%-8.23M-356.21%-14.98M177.38%10.17M88.07%-2.59M
End cash position 28.73%4.44B-20.24%4.19B-20.24%4.19B-3.41%4.69B1.01%4.41B-18.11%3.45B13.78%5.25B13.78%5.25B6.55%4.86B-31.55%4.37B
Free cash flow 19.68%329.58M6.38%1.5B42.64%713.41M-39.98%231.74M8.49%281.17M3.43%275.38M-0.93%1.41B-10.96%500.13M0.71%386.12M0.88%259.17M
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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