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MNSB MainStreet Bancshares

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  • 19.050
  • +0.205+1.09%
Close May 9 16:00 ET
  • 19.050
  • 0.0000.00%
Post 16:05 ET
146.76MMarket Cap-11.14P/E (TTM)

MainStreet Bancshares Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-60.17%1.45M
-53.40%14.74M
2.40%5.45M
-53.57%4.47M
-85.04%1.17M
-58.76%3.64M
-5.70%31.63M
-50.11%5.33M
8.20%9.63M
17.83%7.85M
Net income from continuing operations
-25.78%2.45M
-137.54%-9.98M
-414.11%-16.17M
-95.84%264K
-62.31%2.62M
-59.45%3.31M
-0.33%26.59M
-32.09%5.15M
-18.12%6.34M
17.17%6.95M
Operating gains losses
-561.54%-60K
60.47%-51K
---50K
73.33%-24K
--10K
133.33%13K
-178.66%-129K
--0
-142.65%-90K
--0
Depreciation and amortization
39.63%1.22M
68.82%4.63M
110.10%1.73M
59.47%1.03M
57.34%1.01M
36.62%873K
6.44%2.75M
14.01%822K
4.89%644K
5.09%640K
Deferred tax
-143.27%-212K
-2,270.68%-4.53M
-946.62%-4.49M
-1,782.35%-960K
244.00%432K
-16.81%490K
78.64%-191K
48.62%-429K
81.11%-51K
-35.75%-300K
Other non cashItems
-5.18%-203K
-88.12%-792K
-88.07%-205K
-138.82%-203K
-169.01%-191K
-23.72%-193K
37.72%-421K
29.22%-109K
62.39%-85K
54.78%-71K
Change in working capital
-73.51%-2.33M
-254.91%-3.87M
165.00%754K
-61.78%751K
-573.91%-4.03M
-3.40%-1.34M
-253.38%-1.09M
-178.97%-1.16M
1,236.73%1.97M
-10.54%-598K
-Change in receivables
2.47%1.7M
138.49%1.08M
80.60%-234K
191.29%839K
-130.87%-1.19M
1,120.25%1.66M
-50.62%-2.8M
6.44%-1.21M
4.27%-919K
-54.65%-515K
-Change in other current assets
153.54%2.48M
-197.60%-4.79M
-148.08%-5.02M
228.79%7.4M
-3.25%-2.54M
-272.40%-4.63M
121.92%4.91M
133.48%10.43M
43.33%-5.75M
85.56%-2.46M
-Change in other current liabilities
-499.14%-6.51M
95.31%-150K
157.81%6M
-186.77%-7.49M
-112.52%-298K
142.69%1.63M
-112.80%-3.2M
-507.37%-10.39M
-23.26%8.63M
-85.87%2.38M
Cash from discontinued operating activities
Operating cash flow
-60.17%1.45M
-53.40%14.74M
2.40%5.45M
-53.57%4.47M
-85.04%1.17M
-58.76%3.64M
-5.70%31.63M
-50.11%5.33M
8.20%9.63M
17.83%7.85M
Investing cash flow
Cash flow from continuing investing activities
81.26%-4.37M
6.48%-122.28M
-48.99%-42.67M
98.17%-822K
-188.91%-55.48M
38.53%-23.3M
42.84%-130.75M
32.60%-28.64M
21.12%-45M
28.91%-19.2M
Net investment purchase and sale
1.04%585K
17.65%4.66M
-33.36%863K
112.30%1.21M
24.00%2.01M
21.64%579K
-85.86%3.96M
-98.72%1.3M
102.45%569K
107.27%1.62M
Net proceeds payment for loan
94.43%-1.23M
11.81%-112.9M
-54.90%-38.26M
100.36%157K
-152.86%-52.66M
42.70%-22.14M
46.82%-128.03M
81.43%-24.7M
-39.66%-43.86M
-405.85%-20.83M
Net PPE purchase and sale
89.50%-55K
-94.02%-714K
257.14%11K
-110.77%-137K
68.63%-64K
-469.57%-524K
67.29%-368K
98.63%-7K
22.62%-65K
12.82%-204K
Net intangibles purchase and sale
--0
11.40%-4.88M
48.91%-656K
-51.40%-1.68M
11.31%-1.51M
26.67%-1.03M
17.25%-5.51M
32.10%-1.28M
51.91%-1.11M
-62.57%-1.71M
Net other investing changes
-1,880.00%-3.66M
-944.55%-8.44M
-17.38%-4.63M
30.09%-374K
-270.19%-3.25M
-110.53%-185K
90.16%-808K
50.37%-3.94M
---535K
182.84%1.91M
Cash from discontinued investing activities
Investing cash flow
81.26%-4.37M
6.48%-122.28M
-48.99%-42.67M
98.17%-822K
-188.91%-55.48M
38.53%-23.3M
42.84%-130.75M
32.60%-28.64M
21.12%-45M
28.91%-19.2M
Financing cash flow
Cash flow from continuing financing activities
-107.20%-2.15M
141.77%200.73M
-23.02%12.81M
134.14%137.01M
118.14%21.03M
-75.86%29.89M
-64.30%83.03M
-71.14%16.65M
16.48%58.51M
-645.29%-115.94M
Change in federal funds and securities sold for repurchase
--0
----
----
----
--0
---15M
----
----
----
----
Increase decrease in deposit
-98.86%531K
27.96%221.67M
380.93%14.13M
54.01%138.31M
158.16%22.63M
-60.96%46.61M
71.65%173.24M
107.16%2.94M
66.93%89.81M
-159.68%-38.9M
Net issuance payments of debt
---940K
82.35%-15M
--0
---15M
--0
--0
-159.60%-85M
-85.00%15M
--0
-164.24%-105.7M
Net commonstock issuance
-6.44%-446K
-1,602.33%-732K
---13K
--0
-597.67%-300K
---419K
99.38%-43K
--0
--0
98.57%-43K
Cash dividends paid
0.38%-1.3M
-0.68%-5.2M
-0.54%-1.3M
-0.54%-1.3M
-0.70%-1.3M
-0.93%-1.3M
-27.96%-5.17M
-0.70%-1.29M
-41.82%-1.29M
-40.74%-1.29M
Cash from discontinued financing activities
Financing cash flow
-107.20%-2.15M
141.77%200.73M
-23.02%12.81M
134.14%137.01M
118.14%21.03M
-75.86%29.89M
-64.30%83.03M
-71.14%16.65M
16.48%58.51M
-645.29%-115.94M
Net cash flow
Beginning cash position
81.38%207.71M
-12.32%114.51M
91.54%232.11M
-6.71%91.46M
-44.64%124.74M
-12.32%114.51M
40.13%130.6M
15.71%121.18M
-4.49%98.04M
121.48%225.33M
Current changes in cash
-149.55%-5.07M
679.32%93.2M
-265.91%-24.41M
507.79%140.66M
73.85%-33.28M
-89.20%10.23M
-143.01%-16.09M
-125.79%-6.67M
1,009.93%23.14M
-14,134.51%-127.29M
End cash position
62.45%202.64M
81.38%207.71M
81.38%207.71M
91.54%232.11M
-6.71%91.46M
-44.64%124.74M
-12.32%114.51M
-12.32%114.51M
15.71%121.18M
-4.49%98.04M
Free cash flow
-30.27%1.4M
-65.07%8.95M
17.95%4.76M
-68.53%2.63M
-107.45%-442K
-72.55%2M
-0.52%25.63M
-51.23%4.03M
28.47%8.37M
10.42%5.94M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2025(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -60.17%1.45M-53.40%14.74M2.40%5.45M-53.57%4.47M-85.04%1.17M-58.76%3.64M-5.70%31.63M-50.11%5.33M8.20%9.63M17.83%7.85M
Net income from continuing operations -25.78%2.45M-137.54%-9.98M-414.11%-16.17M-95.84%264K-62.31%2.62M-59.45%3.31M-0.33%26.59M-32.09%5.15M-18.12%6.34M17.17%6.95M
Operating gains losses -561.54%-60K60.47%-51K---50K73.33%-24K--10K133.33%13K-178.66%-129K--0-142.65%-90K--0
Depreciation and amortization 39.63%1.22M68.82%4.63M110.10%1.73M59.47%1.03M57.34%1.01M36.62%873K6.44%2.75M14.01%822K4.89%644K5.09%640K
Deferred tax -143.27%-212K-2,270.68%-4.53M-946.62%-4.49M-1,782.35%-960K244.00%432K-16.81%490K78.64%-191K48.62%-429K81.11%-51K-35.75%-300K
Other non cashItems -5.18%-203K-88.12%-792K-88.07%-205K-138.82%-203K-169.01%-191K-23.72%-193K37.72%-421K29.22%-109K62.39%-85K54.78%-71K
Change in working capital -73.51%-2.33M-254.91%-3.87M165.00%754K-61.78%751K-573.91%-4.03M-3.40%-1.34M-253.38%-1.09M-178.97%-1.16M1,236.73%1.97M-10.54%-598K
-Change in receivables 2.47%1.7M138.49%1.08M80.60%-234K191.29%839K-130.87%-1.19M1,120.25%1.66M-50.62%-2.8M6.44%-1.21M4.27%-919K-54.65%-515K
-Change in other current assets 153.54%2.48M-197.60%-4.79M-148.08%-5.02M228.79%7.4M-3.25%-2.54M-272.40%-4.63M121.92%4.91M133.48%10.43M43.33%-5.75M85.56%-2.46M
-Change in other current liabilities -499.14%-6.51M95.31%-150K157.81%6M-186.77%-7.49M-112.52%-298K142.69%1.63M-112.80%-3.2M-507.37%-10.39M-23.26%8.63M-85.87%2.38M
Cash from discontinued operating activities
Operating cash flow -60.17%1.45M-53.40%14.74M2.40%5.45M-53.57%4.47M-85.04%1.17M-58.76%3.64M-5.70%31.63M-50.11%5.33M8.20%9.63M17.83%7.85M
Investing cash flow
Cash flow from continuing investing activities 81.26%-4.37M6.48%-122.28M-48.99%-42.67M98.17%-822K-188.91%-55.48M38.53%-23.3M42.84%-130.75M32.60%-28.64M21.12%-45M28.91%-19.2M
Net investment purchase and sale 1.04%585K17.65%4.66M-33.36%863K112.30%1.21M24.00%2.01M21.64%579K-85.86%3.96M-98.72%1.3M102.45%569K107.27%1.62M
Net proceeds payment for loan 94.43%-1.23M11.81%-112.9M-54.90%-38.26M100.36%157K-152.86%-52.66M42.70%-22.14M46.82%-128.03M81.43%-24.7M-39.66%-43.86M-405.85%-20.83M
Net PPE purchase and sale 89.50%-55K-94.02%-714K257.14%11K-110.77%-137K68.63%-64K-469.57%-524K67.29%-368K98.63%-7K22.62%-65K12.82%-204K
Net intangibles purchase and sale --011.40%-4.88M48.91%-656K-51.40%-1.68M11.31%-1.51M26.67%-1.03M17.25%-5.51M32.10%-1.28M51.91%-1.11M-62.57%-1.71M
Net other investing changes -1,880.00%-3.66M-944.55%-8.44M-17.38%-4.63M30.09%-374K-270.19%-3.25M-110.53%-185K90.16%-808K50.37%-3.94M---535K182.84%1.91M
Cash from discontinued investing activities
Investing cash flow 81.26%-4.37M6.48%-122.28M-48.99%-42.67M98.17%-822K-188.91%-55.48M38.53%-23.3M42.84%-130.75M32.60%-28.64M21.12%-45M28.91%-19.2M
Financing cash flow
Cash flow from continuing financing activities -107.20%-2.15M141.77%200.73M-23.02%12.81M134.14%137.01M118.14%21.03M-75.86%29.89M-64.30%83.03M-71.14%16.65M16.48%58.51M-645.29%-115.94M
Change in federal funds and securities sold for repurchase --0--------------0---15M----------------
Increase decrease in deposit -98.86%531K27.96%221.67M380.93%14.13M54.01%138.31M158.16%22.63M-60.96%46.61M71.65%173.24M107.16%2.94M66.93%89.81M-159.68%-38.9M
Net issuance payments of debt ---940K82.35%-15M--0---15M--0--0-159.60%-85M-85.00%15M--0-164.24%-105.7M
Net commonstock issuance -6.44%-446K-1,602.33%-732K---13K--0-597.67%-300K---419K99.38%-43K--0--098.57%-43K
Cash dividends paid 0.38%-1.3M-0.68%-5.2M-0.54%-1.3M-0.54%-1.3M-0.70%-1.3M-0.93%-1.3M-27.96%-5.17M-0.70%-1.29M-41.82%-1.29M-40.74%-1.29M
Cash from discontinued financing activities
Financing cash flow -107.20%-2.15M141.77%200.73M-23.02%12.81M134.14%137.01M118.14%21.03M-75.86%29.89M-64.30%83.03M-71.14%16.65M16.48%58.51M-645.29%-115.94M
Net cash flow
Beginning cash position 81.38%207.71M-12.32%114.51M91.54%232.11M-6.71%91.46M-44.64%124.74M-12.32%114.51M40.13%130.6M15.71%121.18M-4.49%98.04M121.48%225.33M
Current changes in cash -149.55%-5.07M679.32%93.2M-265.91%-24.41M507.79%140.66M73.85%-33.28M-89.20%10.23M-143.01%-16.09M-125.79%-6.67M1,009.93%23.14M-14,134.51%-127.29M
End cash position 62.45%202.64M81.38%207.71M81.38%207.71M91.54%232.11M-6.71%91.46M-44.64%124.74M-12.32%114.51M-12.32%114.51M15.71%121.18M-4.49%98.04M
Free cash flow -30.27%1.4M-65.07%8.95M17.95%4.76M-68.53%2.63M-107.45%-442K-72.55%2M-0.52%25.63M-51.23%4.03M28.47%8.37M10.42%5.94M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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