US Stock MarketDetailed Quotes

BSBK Bogota Financial

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  • 7.620
  • +0.320+4.38%
Close Sep 18 16:00 ET
  • 7.620
  • 0.0000.00%
Post 20:02 ET
99.98MMarket Cap-47625P/E (TTM)

Bogota Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
338.01%1.65M
-336.76%-2.88M
-86.76%1.44M
-112.61%-224.28K
-97.59%68.04K
119.32%376.86K
-85.18%1.22M
82.11%10.86M
109.92%1.78M
-47.21%2.82M
Net income from continuing operations
-150.49%-432.48K
-144.42%-440.98K
-90.66%642.54K
-161.88%-1.18M
-101.50%-29.05K
-47.83%856.64K
-29.14%992.71K
-8.55%6.88M
-6.37%1.9M
85.25%1.93M
Operating gains losses
----
----
66.20%-29.38K
--0
--0
-7,542.40%-16.15K
84.82%-13.23K
88.95%-86.91K
--0
--0
Depreciation and amortization
63.98%157.4K
-0.01%96.17K
79.48%458.4K
110.65%128.35K
75.13%137.89K
159.83%95.99K
22.06%96.18K
174.66%255.4K
45.56%60.93K
130.54%78.73K
Deferred tax
114.68%16.38K
---546.54K
-224.06%-624.39K
-269.95%-512.8K
--0
-246.43%-111.59K
--0
92.63%503.31K
231.59%301.73K
-10.38%125.37K
Other non cashItems
-23.60%-215.06K
-22.64%-211.96K
-234.99%-752.15K
-12.52%-207.45K
-213.13%-197.87K
95.29%-174K
-104.06%-172.83K
132.60%557.21K
99.05%-184.37K
-95.79%174.92K
Change in working capital
617.83%1.81M
-2,169.19%-2.16M
-51.31%537.3K
248.04%1.2M
-408.09%-213.24K
21.26%-349.59K
-104.16%-95.13K
712.07%1.1M
-19.71%-807.42K
65.53%69.21K
-Change in receivables
-178.50%-193.98K
-154.87%-103.93K
102.70%33.87K
53.20%-259.9K
64.66%-142.76K
204.28%247.11K
427.57%189.42K
-381.34%-1.25M
-4,340.72%-555.32K
-1,057.90%-403.92K
-Change in other current assets
12,584.95%1.95M
-315.14%-2.23M
-166.10%-1.15M
284.96%367.81K
-19,240.05%-997.39K
-66.64%15.39K
-128.40%-536.09K
310.29%1.74M
67.54%-198.86K
-98.29%5.21K
-Change in other current liabilities
108.47%51.83K
-32.13%170.71K
167.86%1.65M
2,142.55%1.09M
98.09%926.91K
-141.82%-612.09K
-44.81%251.53K
206.41%617.37K
29.04%-53.24K
305.76%467.92K
Cash from discontinued operating activities
Operating cash flow
338.01%1.65M
-336.76%-2.88M
-86.76%1.44M
-112.61%-224.28K
-97.59%68.04K
119.32%376.86K
-85.18%1.22M
82.11%10.86M
109.92%1.78M
-47.21%2.82M
Investing cash flow
Cash flow from continuing investing activities
-151.02%-12.1M
-442.62%-29.06M
110.21%21.52M
-1,099.24%-10.81M
100.20%131.18K
127.49%23.71M
114.66%8.48M
-699.54%-210.72M
-114.13%-901.09K
-1,295.57%-65.68M
Net investment purchase and sale
-157.45%-10.65M
-1,807.15%-35.92M
137.16%20.76M
-148.99%-4.86M
-56.29%4.98M
210.23%18.53M
103.48%2.1M
-41.34%-55.86M
143.97%9.93M
358.86%11.4M
Net proceeds payment for loan
-97.79%135.2K
-8.72%6.3M
102.82%4.21M
62.89%-4.43M
94.26%-4.39M
109.75%6.13M
211.24%6.9M
-336.11%-148.98M
-141.43%-11.94M
-28,272.08%-76.43M
Net PPE purchase and sale
-239.35%-233.85K
-184.42%-266.09K
-31.71%-318.04K
5.81%-53.43K
-43.43%-102.14K
-6.25%-68.91K
-92.18%-93.56K
83.42%-241.47K
63.70%-56.73K
79.91%-71.21K
Net other investing changes
-54.08%-1.35M
293.50%827.6K
44.58%-3.13M
-224.31%-1.46M
38.33%-361.9K
86.62%-877.9K
-227.06%-427.7K
11.46%-5.64M
314.79%1.17M
-281.62%-586.8K
Cash from discontinued investing activities
Investing cash flow
-151.02%-12.1M
-442.62%-29.06M
110.21%21.52M
-1,099.24%-10.81M
100.20%131.18K
127.49%23.71M
114.66%8.48M
-699.54%-210.72M
-114.13%-901.09K
-1,295.57%-65.68M
Financing cash flow
Cash flow from continuing financing activities
167.54%13.22M
1,171.66%21.82M
-113.32%-14.87M
316.37%10.98M
-106.18%-4.24M
-173.14%-19.58M
-114.92%-2.04M
779.66%111.64M
821.24%2.64M
356.60%68.58M
Increase decrease in deposit
51.92%-16.42M
476.16%40.2M
-173.08%-76.03M
-159.89%-19.93M
-119.81%-11.27M
-296.33%-34.14M
-147.51%-10.69M
654.54%104.04M
427.07%33.27M
157.78%56.89M
Net issuance payments of debt
97.93%30.14M
-288.81%-18.37M
277.00%65.41M
225.64%32.38M
-37.17%8.08M
-59.18%15.23M
238.42%9.73M
159.05%17.35M
-412.91%-25.77M
287.40%12.85M
Net commonstock issuance
12.58%-734.73K
80.77%-269.7K
62.16%-3.81M
81.90%-744.64K
50.29%-822.26K
65.13%-840.46K
25.86%-1.4M
-1,991.34%-10.07M
-1,433.64%-4.11M
-675.48%-1.65M
Net other financing activities
33.88%239.45K
-18.44%265.14K
-238.43%-440.95K
2.70%-727.02K
-144.43%-217.85K
-64.20%178.85K
328.41%325.07K
190.85%318.54K
-1.93%-747.22K
2,104.24%490.27K
Cash from discontinued financing activities
Financing cash flow
167.54%13.22M
1,171.66%21.82M
-113.32%-14.87M
316.37%10.98M
-106.18%-4.24M
-173.14%-19.58M
-114.92%-2.04M
779.66%111.64M
821.24%2.64M
356.60%68.58M
Net cash flow
Beginning cash position
-39.53%14.82M
48.03%24.93M
-83.97%16.84M
87.44%24.98M
281.54%29.01M
-64.52%24.5M
-83.97%16.84M
30.71%105.07M
-88.54%13.33M
-92.45%7.6M
Current changes in cash
-38.46%2.78M
-232.01%-10.11M
109.17%8.09M
-101.36%-47.85K
-170.54%-4.04M
107.34%4.51M
121.27%7.66M
-457.44%-88.23M
131.22%3.52M
-63.46%5.72M
End cash position
-39.37%17.59M
-39.53%14.82M
48.03%24.93M
48.03%24.93M
87.44%24.98M
281.54%29.01M
-64.52%24.5M
-83.97%16.84M
-83.97%16.84M
-88.54%13.33M
Free cash flow
360.09%1.42M
-380.17%-3.15M
-89.46%1.12M
-116.13%-277.71K
-101.24%-34.1K
115.28%307.95K
-86.23%1.12M
135.63%10.61M
109.52%1.72M
-44.89%2.75M
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)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 338.01%1.65M-336.76%-2.88M-86.76%1.44M-112.61%-224.28K-97.59%68.04K119.32%376.86K-85.18%1.22M82.11%10.86M109.92%1.78M-47.21%2.82M
Net income from continuing operations -150.49%-432.48K-144.42%-440.98K-90.66%642.54K-161.88%-1.18M-101.50%-29.05K-47.83%856.64K-29.14%992.71K-8.55%6.88M-6.37%1.9M85.25%1.93M
Operating gains losses --------66.20%-29.38K--0--0-7,542.40%-16.15K84.82%-13.23K88.95%-86.91K--0--0
Depreciation and amortization 63.98%157.4K-0.01%96.17K79.48%458.4K110.65%128.35K75.13%137.89K159.83%95.99K22.06%96.18K174.66%255.4K45.56%60.93K130.54%78.73K
Deferred tax 114.68%16.38K---546.54K-224.06%-624.39K-269.95%-512.8K--0-246.43%-111.59K--092.63%503.31K231.59%301.73K-10.38%125.37K
Other non cashItems -23.60%-215.06K-22.64%-211.96K-234.99%-752.15K-12.52%-207.45K-213.13%-197.87K95.29%-174K-104.06%-172.83K132.60%557.21K99.05%-184.37K-95.79%174.92K
Change in working capital 617.83%1.81M-2,169.19%-2.16M-51.31%537.3K248.04%1.2M-408.09%-213.24K21.26%-349.59K-104.16%-95.13K712.07%1.1M-19.71%-807.42K65.53%69.21K
-Change in receivables -178.50%-193.98K-154.87%-103.93K102.70%33.87K53.20%-259.9K64.66%-142.76K204.28%247.11K427.57%189.42K-381.34%-1.25M-4,340.72%-555.32K-1,057.90%-403.92K
-Change in other current assets 12,584.95%1.95M-315.14%-2.23M-166.10%-1.15M284.96%367.81K-19,240.05%-997.39K-66.64%15.39K-128.40%-536.09K310.29%1.74M67.54%-198.86K-98.29%5.21K
-Change in other current liabilities 108.47%51.83K-32.13%170.71K167.86%1.65M2,142.55%1.09M98.09%926.91K-141.82%-612.09K-44.81%251.53K206.41%617.37K29.04%-53.24K305.76%467.92K
Cash from discontinued operating activities
Operating cash flow 338.01%1.65M-336.76%-2.88M-86.76%1.44M-112.61%-224.28K-97.59%68.04K119.32%376.86K-85.18%1.22M82.11%10.86M109.92%1.78M-47.21%2.82M
Investing cash flow
Cash flow from continuing investing activities -151.02%-12.1M-442.62%-29.06M110.21%21.52M-1,099.24%-10.81M100.20%131.18K127.49%23.71M114.66%8.48M-699.54%-210.72M-114.13%-901.09K-1,295.57%-65.68M
Net investment purchase and sale -157.45%-10.65M-1,807.15%-35.92M137.16%20.76M-148.99%-4.86M-56.29%4.98M210.23%18.53M103.48%2.1M-41.34%-55.86M143.97%9.93M358.86%11.4M
Net proceeds payment for loan -97.79%135.2K-8.72%6.3M102.82%4.21M62.89%-4.43M94.26%-4.39M109.75%6.13M211.24%6.9M-336.11%-148.98M-141.43%-11.94M-28,272.08%-76.43M
Net PPE purchase and sale -239.35%-233.85K-184.42%-266.09K-31.71%-318.04K5.81%-53.43K-43.43%-102.14K-6.25%-68.91K-92.18%-93.56K83.42%-241.47K63.70%-56.73K79.91%-71.21K
Net other investing changes -54.08%-1.35M293.50%827.6K44.58%-3.13M-224.31%-1.46M38.33%-361.9K86.62%-877.9K-227.06%-427.7K11.46%-5.64M314.79%1.17M-281.62%-586.8K
Cash from discontinued investing activities
Investing cash flow -151.02%-12.1M-442.62%-29.06M110.21%21.52M-1,099.24%-10.81M100.20%131.18K127.49%23.71M114.66%8.48M-699.54%-210.72M-114.13%-901.09K-1,295.57%-65.68M
Financing cash flow
Cash flow from continuing financing activities 167.54%13.22M1,171.66%21.82M-113.32%-14.87M316.37%10.98M-106.18%-4.24M-173.14%-19.58M-114.92%-2.04M779.66%111.64M821.24%2.64M356.60%68.58M
Increase decrease in deposit 51.92%-16.42M476.16%40.2M-173.08%-76.03M-159.89%-19.93M-119.81%-11.27M-296.33%-34.14M-147.51%-10.69M654.54%104.04M427.07%33.27M157.78%56.89M
Net issuance payments of debt 97.93%30.14M-288.81%-18.37M277.00%65.41M225.64%32.38M-37.17%8.08M-59.18%15.23M238.42%9.73M159.05%17.35M-412.91%-25.77M287.40%12.85M
Net commonstock issuance 12.58%-734.73K80.77%-269.7K62.16%-3.81M81.90%-744.64K50.29%-822.26K65.13%-840.46K25.86%-1.4M-1,991.34%-10.07M-1,433.64%-4.11M-675.48%-1.65M
Net other financing activities 33.88%239.45K-18.44%265.14K-238.43%-440.95K2.70%-727.02K-144.43%-217.85K-64.20%178.85K328.41%325.07K190.85%318.54K-1.93%-747.22K2,104.24%490.27K
Cash from discontinued financing activities
Financing cash flow 167.54%13.22M1,171.66%21.82M-113.32%-14.87M316.37%10.98M-106.18%-4.24M-173.14%-19.58M-114.92%-2.04M779.66%111.64M821.24%2.64M356.60%68.58M
Net cash flow
Beginning cash position -39.53%14.82M48.03%24.93M-83.97%16.84M87.44%24.98M281.54%29.01M-64.52%24.5M-83.97%16.84M30.71%105.07M-88.54%13.33M-92.45%7.6M
Current changes in cash -38.46%2.78M-232.01%-10.11M109.17%8.09M-101.36%-47.85K-170.54%-4.04M107.34%4.51M121.27%7.66M-457.44%-88.23M131.22%3.52M-63.46%5.72M
End cash position -39.37%17.59M-39.53%14.82M48.03%24.93M48.03%24.93M87.44%24.98M281.54%29.01M-64.52%24.5M-83.97%16.84M-83.97%16.84M-88.54%13.33M
Free cash flow 360.09%1.42M-380.17%-3.15M-89.46%1.12M-116.13%-277.71K-101.24%-34.1K115.28%307.95K-86.23%1.12M135.63%10.61M109.52%1.72M-44.89%2.75M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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