US Stock MarketDetailed Quotes

Cohen (COHN)

Watchlist
  • 21.880
  • -1.150-4.99%
Close Apr 24 16:00 ET
  • 21.880
  • 0.0000.00%
Post 20:01 ET
54.21MMarket Cap5.03P/E (TTM)

Cohen (COHN) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
188.65%27.35M
-146.38%-2.06M
445.43%22.43M
417.33%13.35M
-224.04%-6.37M
123.89%9.48M
227.28%4.43M
906.27%4.11M
47.13%-4.21M
118.54%5.14M
Net income from continuing operations
390.10%40.13M
474.97%25.78M
70.96%8.79M
134.07%4.63M
-96.01%938K
-21.25%8.19M
-125.58%-6.88M
189.63%5.14M
-1,862.86%-13.58M
333.80%23.51M
Operating gains losses
1,439.81%172.43M
-268.72%-5.82M
4,522.67%172.7M
-154.97%-7.45M
236.16%13M
136.72%11.2M
115.14%3.45M
-74.13%3.74M
153.94%13.56M
-418.98%-9.55M
Depreciation and amortization
30.22%724K
20.86%197K
27.08%183K
37.60%172K
38.71%172K
-1.24%556K
25.38%163K
2.86%144K
-16.11%125K
-13.89%124K
Deferred tax
-176.07%-1.87M
-387.41%-2.79M
892.73%436K
4,322.22%398K
244.07%85K
-112.64%-677K
-469.03%-572K
96.08%-55K
-99.86%9K
-115.17%-59K
Other non cash items
-850.77%-231M
-471.42%-19.53M
-1,765.94%-181.2M
-388.02%-12.55M
-106.13%-17.72M
-38.39%-24.3M
80.49%-3.42M
-6,365.16%-9.71M
-1,802.65%-2.57M
-2,406.12%-8.6M
Change In working capital
171.61%26.72M
-260.59%-16.82M
451.61%20.44M
1,034.01%27.11M
-178.32%-4.01M
179.87%9.84M
22.53%10.47M
-22.67%3.71M
22.16%-2.9M
93.44%-1.44M
-Change in receivables
218.18%308.46M
147.41%56.86M
7,559.30%377.14M
-180.71%-120.6M
98.27%-4.94M
-880.56%-261M
-1,264.30%-119.92M
-112.90%-5.06M
299.73%149.42M
-585.72%-285.44M
-Change in payables and accrued expense
543.58%75.09M
-21.60%6.84M
418.94%40.36M
6,071.86%33.32M
-27.10%-5.44M
113.96%11.67M
105.90%8.72M
134.18%7.78M
99.31%-558K
58.75%-4.28M
-Change in other current assets
-69.66%7.34M
121.55%11.54M
-8.64%17.35M
-122.81%-9.76M
-173.85%-11.8M
-25.21%24.18M
-529.35%-53.57M
2,570.89%18.99M
758.81%42.79M
12.84%15.98M
-Change in other current liabilities
-214.30%-295.39M
-138.78%-55.44M
-2,578,485.71%-361M
171.48%113.34M
-97.19%7.71M
329.12%258.44M
459.67%142.96M
99.97%-14K
-353.51%-158.56M
392.08%274.06M
-Change in other working capital
-193.31%-68.78M
-213.43%-36.62M
-196.85%-53.41M
130.01%10.8M
694.54%10.46M
-119.82%-23.45M
51.73%32.29M
-637.88%-17.99M
-142.66%-35.98M
-118.82%-1.76M
Cash from discontinued investing activities
Operating cash flow
188.65%27.35M
-146.38%-2.06M
445.43%22.43M
417.33%13.35M
-224.04%-6.37M
123.89%9.48M
227.28%4.43M
906.27%4.11M
47.13%-4.21M
118.54%5.14M
Investing cash flow
Cash flow from continuing investing activities
58.78%26.21M
134.06%13.38M
75.48%7.61M
-88.98%1.03M
246.67%4.19M
-56.70%16.51M
-40.30%5.72M
-23.85%4.34M
-53.78%9.31M
-205.23%-2.86M
Net PPE purchase and sale
-0.40%-1.25M
6.30%-431K
19.68%-253K
-10.13%-413K
-58.59%-157K
-234.85%-1.25M
-530.14%-460K
-284.15%-315K
-207.38%-375K
-3.13%-99K
Net business purchase and sale
-1,216.95%-3.11M
--0
--0
-1,896.27%-2.68M
---433K
87.55%-236K
52.22%-43K
91.35%-59K
65.46%-134K
--0
Net investment purchase and sale
70.84%28.98M
123.64%13.8M
65.53%7.6M
-54.15%4.11M
225.67%3.47M
-55.71%16.97M
-19.34%6.17M
-28.92%4.59M
-56.58%8.96M
-177.91%-2.76M
Cash from discontinued investing activities
Investing cash flow
58.78%26.21M
134.06%13.38M
75.48%7.61M
-88.98%1.03M
246.67%4.19M
-56.70%16.51M
-40.30%5.72M
-23.85%4.34M
-53.78%9.31M
-205.23%-2.86M
Financing cash flow
Cash flow from continuing financing activities
-3.49%-17.3M
-114.09%-9.59M
67.33%-1.27M
61.71%-2.81M
-263.46%-3.63M
2.27%-16.72M
50.39%-4.48M
-1.04%-3.9M
-100.35%-7.34M
-79.68%-999K
Net issuance payments of debt
---2.57M
--0
--0
----
----
--0
--0
--0
----
----
Net common stock issuance
--0
--0
--0
----
----
--154K
--0
--0
----
----
Cash dividends paid
-13.77%-2.13M
-6.86%-436K
-6.37%-434K
-8.13%-878K
-56.33%-383K
-7.03%-1.87M
-7.09%-408K
-5.97%-408K
-5.59%-812K
-13.95%-245K
Proceeds from stock option exercised by employees
-81.48%-343K
--1K
---1K
25.00%-3K
-83.78%-340K
-8.00%-189K
--0
--0
63.64%-4K
-12.80%-185K
Net other financing activities
17.25%-12.25M
-124.87%-9.15M
75.97%-839K
109.63%643K
-411.07%-2.91M
2.44%-14.81M
52.93%-4.07M
-0.49%-3.49M
-131.59%-6.68M
-221.47%-569K
Cash from discontinued financing activities
Financing cash flow
-3.49%-17.3M
-114.09%-9.59M
67.33%-1.27M
61.71%-2.81M
-263.46%-3.63M
2.27%-16.72M
50.39%-4.48M
-1.04%-3.9M
-100.35%-7.34M
-79.68%-999K
Net cash flow
Beginning cash position
83.94%19.59M
282.70%54.69M
171.50%26M
18.23%13.99M
83.94%19.59M
-63.40%10.65M
7.04%14.29M
-21.30%9.58M
224.88%11.83M
-63.40%10.65M
Current changes in cash
291.38%36.26M
-69.36%1.74M
532.12%28.77M
616.06%11.57M
-553.51%-5.81M
149.69%9.26M
293.32%5.67M
242.70%4.55M
-126.32%-2.24M
105.02%1.28M
Effect of exchange rate changes
382.41%915K
190.32%336K
-146.34%-76K
3,530.77%446K
302.91%209K
-269.63%-324K
-258.97%-372K
213.89%164K
-230.00%-13K
-213.19%-103K
End cash Position
189.75%56.76M
189.75%56.76M
282.70%54.69M
171.50%26M
18.23%13.99M
83.94%19.59M
83.94%19.59M
7.04%14.29M
-21.30%9.58M
224.88%11.83M
Free cash flow
217.24%26.1M
-162.60%-2.49M
484.01%22.18M
382.34%12.94M
-229.60%-6.53M
120.55%8.23M
211.73%3.97M
741.39%3.8M
43.29%-4.58M
118.12%5.04M
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
--
--
--
--
(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(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 188.65%27.35M-146.38%-2.06M445.43%22.43M417.33%13.35M-224.04%-6.37M123.89%9.48M227.28%4.43M906.27%4.11M47.13%-4.21M118.54%5.14M
Net income from continuing operations 390.10%40.13M474.97%25.78M70.96%8.79M134.07%4.63M-96.01%938K-21.25%8.19M-125.58%-6.88M189.63%5.14M-1,862.86%-13.58M333.80%23.51M
Operating gains losses 1,439.81%172.43M-268.72%-5.82M4,522.67%172.7M-154.97%-7.45M236.16%13M136.72%11.2M115.14%3.45M-74.13%3.74M153.94%13.56M-418.98%-9.55M
Depreciation and amortization 30.22%724K20.86%197K27.08%183K37.60%172K38.71%172K-1.24%556K25.38%163K2.86%144K-16.11%125K-13.89%124K
Deferred tax -176.07%-1.87M-387.41%-2.79M892.73%436K4,322.22%398K244.07%85K-112.64%-677K-469.03%-572K96.08%-55K-99.86%9K-115.17%-59K
Other non cash items -850.77%-231M-471.42%-19.53M-1,765.94%-181.2M-388.02%-12.55M-106.13%-17.72M-38.39%-24.3M80.49%-3.42M-6,365.16%-9.71M-1,802.65%-2.57M-2,406.12%-8.6M
Change In working capital 171.61%26.72M-260.59%-16.82M451.61%20.44M1,034.01%27.11M-178.32%-4.01M179.87%9.84M22.53%10.47M-22.67%3.71M22.16%-2.9M93.44%-1.44M
-Change in receivables 218.18%308.46M147.41%56.86M7,559.30%377.14M-180.71%-120.6M98.27%-4.94M-880.56%-261M-1,264.30%-119.92M-112.90%-5.06M299.73%149.42M-585.72%-285.44M
-Change in payables and accrued expense 543.58%75.09M-21.60%6.84M418.94%40.36M6,071.86%33.32M-27.10%-5.44M113.96%11.67M105.90%8.72M134.18%7.78M99.31%-558K58.75%-4.28M
-Change in other current assets -69.66%7.34M121.55%11.54M-8.64%17.35M-122.81%-9.76M-173.85%-11.8M-25.21%24.18M-529.35%-53.57M2,570.89%18.99M758.81%42.79M12.84%15.98M
-Change in other current liabilities -214.30%-295.39M-138.78%-55.44M-2,578,485.71%-361M171.48%113.34M-97.19%7.71M329.12%258.44M459.67%142.96M99.97%-14K-353.51%-158.56M392.08%274.06M
-Change in other working capital -193.31%-68.78M-213.43%-36.62M-196.85%-53.41M130.01%10.8M694.54%10.46M-119.82%-23.45M51.73%32.29M-637.88%-17.99M-142.66%-35.98M-118.82%-1.76M
Cash from discontinued investing activities
Operating cash flow 188.65%27.35M-146.38%-2.06M445.43%22.43M417.33%13.35M-224.04%-6.37M123.89%9.48M227.28%4.43M906.27%4.11M47.13%-4.21M118.54%5.14M
Investing cash flow
Cash flow from continuing investing activities 58.78%26.21M134.06%13.38M75.48%7.61M-88.98%1.03M246.67%4.19M-56.70%16.51M-40.30%5.72M-23.85%4.34M-53.78%9.31M-205.23%-2.86M
Net PPE purchase and sale -0.40%-1.25M6.30%-431K19.68%-253K-10.13%-413K-58.59%-157K-234.85%-1.25M-530.14%-460K-284.15%-315K-207.38%-375K-3.13%-99K
Net business purchase and sale -1,216.95%-3.11M--0--0-1,896.27%-2.68M---433K87.55%-236K52.22%-43K91.35%-59K65.46%-134K--0
Net investment purchase and sale 70.84%28.98M123.64%13.8M65.53%7.6M-54.15%4.11M225.67%3.47M-55.71%16.97M-19.34%6.17M-28.92%4.59M-56.58%8.96M-177.91%-2.76M
Cash from discontinued investing activities
Investing cash flow 58.78%26.21M134.06%13.38M75.48%7.61M-88.98%1.03M246.67%4.19M-56.70%16.51M-40.30%5.72M-23.85%4.34M-53.78%9.31M-205.23%-2.86M
Financing cash flow
Cash flow from continuing financing activities -3.49%-17.3M-114.09%-9.59M67.33%-1.27M61.71%-2.81M-263.46%-3.63M2.27%-16.72M50.39%-4.48M-1.04%-3.9M-100.35%-7.34M-79.68%-999K
Net issuance payments of debt ---2.57M--0--0----------0--0--0--------
Net common stock issuance --0--0--0----------154K--0--0--------
Cash dividends paid -13.77%-2.13M-6.86%-436K-6.37%-434K-8.13%-878K-56.33%-383K-7.03%-1.87M-7.09%-408K-5.97%-408K-5.59%-812K-13.95%-245K
Proceeds from stock option exercised by employees -81.48%-343K--1K---1K25.00%-3K-83.78%-340K-8.00%-189K--0--063.64%-4K-12.80%-185K
Net other financing activities 17.25%-12.25M-124.87%-9.15M75.97%-839K109.63%643K-411.07%-2.91M2.44%-14.81M52.93%-4.07M-0.49%-3.49M-131.59%-6.68M-221.47%-569K
Cash from discontinued financing activities
Financing cash flow -3.49%-17.3M-114.09%-9.59M67.33%-1.27M61.71%-2.81M-263.46%-3.63M2.27%-16.72M50.39%-4.48M-1.04%-3.9M-100.35%-7.34M-79.68%-999K
Net cash flow
Beginning cash position 83.94%19.59M282.70%54.69M171.50%26M18.23%13.99M83.94%19.59M-63.40%10.65M7.04%14.29M-21.30%9.58M224.88%11.83M-63.40%10.65M
Current changes in cash 291.38%36.26M-69.36%1.74M532.12%28.77M616.06%11.57M-553.51%-5.81M149.69%9.26M293.32%5.67M242.70%4.55M-126.32%-2.24M105.02%1.28M
Effect of exchange rate changes 382.41%915K190.32%336K-146.34%-76K3,530.77%446K302.91%209K-269.63%-324K-258.97%-372K213.89%164K-230.00%-13K-213.19%-103K
End cash Position 189.75%56.76M189.75%56.76M282.70%54.69M171.50%26M18.23%13.99M83.94%19.59M83.94%19.59M7.04%14.29M-21.30%9.58M224.88%11.83M
Free cash flow 217.24%26.1M-162.60%-2.49M484.01%22.18M382.34%12.94M-229.60%-6.53M120.55%8.23M211.73%3.97M741.39%3.8M43.29%-4.58M118.12%5.04M
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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