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NBN Northeast Bank

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  • 83.570
  • +1.540+1.88%
Close May 2 16:00 ET
  • 83.570
  • 0.0000.00%
Post 16:05 ET
712.46MMarket Cap9.31P/E (TTM)

Northeast Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
334.17%9.19M
165.93%2.67M
-92.84%4.3M
-95.31%623K
-81.78%5.62M
-83.83%2.12M
-239.60%-4.05M
97.09%60.11M
82.73%13.29M
893.74%30.83M
Net income from continuing operations
59.67%22.44M
12.75%17.11M
31.78%58.23M
25.28%15.14M
10.77%13.87M
24.39%14.05M
83.08%15.17M
4.80%44.19M
17.38%12.09M
18.22%12.52M
Operating gains losses
-891.10%-5.57M
-1,227.09%-3.33M
-472.22%-3.3M
-319.43%-1.47M
-668.94%-1.02M
-450.98%-562K
-3,237.50%-251K
-569.77%-576K
-736.36%-350K
-135.71%-132K
Depreciation and amortization
-1.25%787K
-1.01%788K
-4.64%3.06M
-7.22%668K
-9.48%802K
-17.67%797K
24.76%796K
23.40%3.21M
12.32%720K
38.22%886K
Deferred tax
-99.90%1K
2,006.90%1.11M
93.96%-285K
74.94%-1.18M
--0
--956K
---58K
-676.31%-4.72M
---4.72M
--0
Other non cashItems
-4.05%-11.25M
-143.03%-23.73M
-462.41%-52.86M
-416.60%-24.18M
-213.30%-8.1M
-790.44%-10.81M
-963.83%-9.77M
16.70%-9.4M
-66.61%-4.68M
-8.43%-2.59M
Change in working capital
75.95%-914K
175.28%8.8M
-142.47%-9.06M
-7.94%8.11M
-108.94%-1.67M
-525.64%-3.8M
-65.78%-11.69M
618.48%21.32M
652.98%8.81M
241.99%18.67M
-Change in other current assets
-49.83%2.24M
65.76%-4.02M
-215.91%-9.93M
259.18%6.06M
-321.62%-8.72M
182.05%4.47M
-252.92%-11.73M
-130.66%-3.14M
42.69%1.69M
54.05%3.94M
-Change in other current liabilities
61.84%-3.15M
34,548.65%12.82M
-96.44%871K
-71.25%2.05M
-52.14%7.05M
-230.48%-8.27M
100.99%37K
270.34%24.46M
356.52%7.12M
193.83%14.74M
Cash from discontinued operating activities
Operating cash flow
334.17%9.19M
165.93%2.67M
-95.74%2.56M
-108.42%-1.12M
-81.78%5.62M
-83.83%2.12M
-239.60%-4.05M
97.09%60.11M
82.73%13.29M
893.74%30.83M
Investing cash flow
Cash flow from continuing investing activities
-25.37%-83.85M
-3,581.90%-703.24M
87.14%-158.25M
-433.34%-76.23M
-388.36%-35.33M
93.61%-66.88M
112.37%20.2M
-394.41%-1.23B
79.56%-14.29M
84.99%-7.24M
Net investment purchase and sale
2,783.33%9.17M
2,231.23%12.54M
358.19%5.23M
2,076.04%4.18M
-17.80%194K
7.07%318K
29.33%538K
-63.07%1.14M
-64.51%192K
-66.38%236K
Net proceeds payment for loan
-29.90%-90.65M
-3,892.84%-715.94M
85.91%-170.04M
-1,211.28%-80.36M
-1,729.15%-38.78M
93.29%-69.78M
111.92%18.88M
-377.73%-1.21B
91.18%-6.13M
95.66%-2.12M
Net PPE purchase and sale
5.13%-74K
94.20%-96K
0.57%-2.45M
-7,133.33%-217K
7.93%-499K
95.40%-78K
-639.29%-1.66M
-133.33%-2.46M
99.60%-3K
-245.22%-542K
Net other investing changes
-186.43%-2.3M
-89.67%252K
139.86%9.01M
102.05%164K
177.98%3.75M
156.48%2.66M
147.82%2.44M
-1,539.40%-22.61M
-3,406.14%-7.99M
-4,636.79%-4.81M
Cash from discontinued investing activities
Investing cash flow
-25.37%-83.85M
-3,581.90%-703.24M
87.14%-158.25M
-447.12%-76.23M
-388.36%-35.33M
93.61%-66.88M
112.37%20.2M
-394.26%-1.23B
80.08%-13.93M
84.99%-7.24M
Financing cash flow
Cash flow from continuing financing activities
43.79%122.25M
8,346.81%775.7M
-83.29%199.94M
734.71%114.36M
-65.22%9.97M
-91.75%85.02M
-106.06%-9.41M
292.94%1.2B
-301.80%-18.02M
-74.34%28.66M
Increase decrease in deposit
-83.75%26.42M
2,525.17%785.45M
-38.07%402.26M
158.83%112.75M
191.05%97M
-82.08%162.58M
-26.50%29.92M
213.01%649.51M
-1,079.35%-191.67M
-192.70%-106.53M
Net issuance payments of debt
187.88%68.34M
83.05%-6.5M
-140.12%-219.09M
-103.79%-6.59M
-175.06%-96.39M
-162.55%-77.77M
-132.06%-38.34M
3,377.73%546.07M
42,368.86%173.73M
31,886.63%128.42M
Net commonstock issuance
----
----
544.17%18.24M
1,991.80%9.43M
29.16%8.27M
----
----
110.12%2.83M
104.54%451K
314.66%6.4M
Cash dividends paid
-17.72%-93K
-4.00%-78K
-3.73%-306K
-4.05%-77K
-2.74%-75K
-5.33%-79K
-2.74%-75K
6.35%-295K
1.33%-74K
5.19%-73K
Proceeds from stock option exercised by employees
----
----
--0
--0
----
----
----
-2,878.00%-1.49M
--0
--0
Net other financing activities
-92.09%-486K
-248.96%-3.18M
-158.09%-1.16M
----
----
-272.06%-253K
-137.86%-911K
-105.94%-451K
----
----
Cash from discontinued financing activities
Financing cash flow
43.79%122.25M
8,346.81%775.7M
-83.29%199.94M
734.71%114.36M
-65.22%9.97M
-91.75%85.02M
-106.06%-9.41M
292.94%1.2B
-301.80%-18.02M
-74.34%28.66M
Net cash flow
Beginning cash position
55.04%317.29M
22.36%242.16M
15.01%197.91M
-5.27%205.15M
36.87%224.9M
22.58%204.65M
15.01%197.91M
-82.97%172.08M
-4.09%216.57M
-1.14%164.32M
Current changes in cash
134.93%47.58M
1,015.17%75.13M
71.31%44.25M
298.30%37.01M
-137.79%-19.75M
867.78%20.25M
231.45%6.74M
103.08%25.83M
65.27%-18.66M
-12.33%52.26M
End cash position
62.24%364.87M
55.04%317.29M
22.36%242.16M
22.36%242.16M
-5.27%205.15M
36.87%224.9M
22.58%204.65M
15.01%197.91M
15.01%197.91M
-4.09%216.57M
Free cash flow
347.15%9.11M
145.13%2.58M
-99.81%111K
-110.06%-1.34M
-83.10%5.12M
-82.11%2.04M
-313.06%-5.71M
95.79%57.64M
103.82%13.29M
849.49%30.29M
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
--
--
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 334.17%9.19M165.93%2.67M-92.84%4.3M-95.31%623K-81.78%5.62M-83.83%2.12M-239.60%-4.05M97.09%60.11M82.73%13.29M893.74%30.83M
Net income from continuing operations 59.67%22.44M12.75%17.11M31.78%58.23M25.28%15.14M10.77%13.87M24.39%14.05M83.08%15.17M4.80%44.19M17.38%12.09M18.22%12.52M
Operating gains losses -891.10%-5.57M-1,227.09%-3.33M-472.22%-3.3M-319.43%-1.47M-668.94%-1.02M-450.98%-562K-3,237.50%-251K-569.77%-576K-736.36%-350K-135.71%-132K
Depreciation and amortization -1.25%787K-1.01%788K-4.64%3.06M-7.22%668K-9.48%802K-17.67%797K24.76%796K23.40%3.21M12.32%720K38.22%886K
Deferred tax -99.90%1K2,006.90%1.11M93.96%-285K74.94%-1.18M--0--956K---58K-676.31%-4.72M---4.72M--0
Other non cashItems -4.05%-11.25M-143.03%-23.73M-462.41%-52.86M-416.60%-24.18M-213.30%-8.1M-790.44%-10.81M-963.83%-9.77M16.70%-9.4M-66.61%-4.68M-8.43%-2.59M
Change in working capital 75.95%-914K175.28%8.8M-142.47%-9.06M-7.94%8.11M-108.94%-1.67M-525.64%-3.8M-65.78%-11.69M618.48%21.32M652.98%8.81M241.99%18.67M
-Change in other current assets -49.83%2.24M65.76%-4.02M-215.91%-9.93M259.18%6.06M-321.62%-8.72M182.05%4.47M-252.92%-11.73M-130.66%-3.14M42.69%1.69M54.05%3.94M
-Change in other current liabilities 61.84%-3.15M34,548.65%12.82M-96.44%871K-71.25%2.05M-52.14%7.05M-230.48%-8.27M100.99%37K270.34%24.46M356.52%7.12M193.83%14.74M
Cash from discontinued operating activities
Operating cash flow 334.17%9.19M165.93%2.67M-95.74%2.56M-108.42%-1.12M-81.78%5.62M-83.83%2.12M-239.60%-4.05M97.09%60.11M82.73%13.29M893.74%30.83M
Investing cash flow
Cash flow from continuing investing activities -25.37%-83.85M-3,581.90%-703.24M87.14%-158.25M-433.34%-76.23M-388.36%-35.33M93.61%-66.88M112.37%20.2M-394.41%-1.23B79.56%-14.29M84.99%-7.24M
Net investment purchase and sale 2,783.33%9.17M2,231.23%12.54M358.19%5.23M2,076.04%4.18M-17.80%194K7.07%318K29.33%538K-63.07%1.14M-64.51%192K-66.38%236K
Net proceeds payment for loan -29.90%-90.65M-3,892.84%-715.94M85.91%-170.04M-1,211.28%-80.36M-1,729.15%-38.78M93.29%-69.78M111.92%18.88M-377.73%-1.21B91.18%-6.13M95.66%-2.12M
Net PPE purchase and sale 5.13%-74K94.20%-96K0.57%-2.45M-7,133.33%-217K7.93%-499K95.40%-78K-639.29%-1.66M-133.33%-2.46M99.60%-3K-245.22%-542K
Net other investing changes -186.43%-2.3M-89.67%252K139.86%9.01M102.05%164K177.98%3.75M156.48%2.66M147.82%2.44M-1,539.40%-22.61M-3,406.14%-7.99M-4,636.79%-4.81M
Cash from discontinued investing activities
Investing cash flow -25.37%-83.85M-3,581.90%-703.24M87.14%-158.25M-447.12%-76.23M-388.36%-35.33M93.61%-66.88M112.37%20.2M-394.26%-1.23B80.08%-13.93M84.99%-7.24M
Financing cash flow
Cash flow from continuing financing activities 43.79%122.25M8,346.81%775.7M-83.29%199.94M734.71%114.36M-65.22%9.97M-91.75%85.02M-106.06%-9.41M292.94%1.2B-301.80%-18.02M-74.34%28.66M
Increase decrease in deposit -83.75%26.42M2,525.17%785.45M-38.07%402.26M158.83%112.75M191.05%97M-82.08%162.58M-26.50%29.92M213.01%649.51M-1,079.35%-191.67M-192.70%-106.53M
Net issuance payments of debt 187.88%68.34M83.05%-6.5M-140.12%-219.09M-103.79%-6.59M-175.06%-96.39M-162.55%-77.77M-132.06%-38.34M3,377.73%546.07M42,368.86%173.73M31,886.63%128.42M
Net commonstock issuance --------544.17%18.24M1,991.80%9.43M29.16%8.27M--------110.12%2.83M104.54%451K314.66%6.4M
Cash dividends paid -17.72%-93K-4.00%-78K-3.73%-306K-4.05%-77K-2.74%-75K-5.33%-79K-2.74%-75K6.35%-295K1.33%-74K5.19%-73K
Proceeds from stock option exercised by employees ----------0--0-------------2,878.00%-1.49M--0--0
Net other financing activities -92.09%-486K-248.96%-3.18M-158.09%-1.16M---------272.06%-253K-137.86%-911K-105.94%-451K--------
Cash from discontinued financing activities
Financing cash flow 43.79%122.25M8,346.81%775.7M-83.29%199.94M734.71%114.36M-65.22%9.97M-91.75%85.02M-106.06%-9.41M292.94%1.2B-301.80%-18.02M-74.34%28.66M
Net cash flow
Beginning cash position 55.04%317.29M22.36%242.16M15.01%197.91M-5.27%205.15M36.87%224.9M22.58%204.65M15.01%197.91M-82.97%172.08M-4.09%216.57M-1.14%164.32M
Current changes in cash 134.93%47.58M1,015.17%75.13M71.31%44.25M298.30%37.01M-137.79%-19.75M867.78%20.25M231.45%6.74M103.08%25.83M65.27%-18.66M-12.33%52.26M
End cash position 62.24%364.87M55.04%317.29M22.36%242.16M22.36%242.16M-5.27%205.15M36.87%224.9M22.58%204.65M15.01%197.91M15.01%197.91M-4.09%216.57M
Free cash flow 347.15%9.11M145.13%2.58M-99.81%111K-110.06%-1.34M-83.10%5.12M-82.11%2.04M-313.06%-5.71M95.79%57.64M103.82%13.29M849.49%30.29M
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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