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FUSB First US Bancshares

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  • 12.132
  • -0.778-6.02%
Close Jan 8 16:00 ET
  • 12.132
  • 0.0000.00%
Post 16:00 ET
69.34MMarket Cap8.67P/E (TTM)

First US Bancshares Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-51.50%1.94M
-25.57%2.55M
-76.99%825K
4.29%13.07M
-31.95%2.06M
-7.51%4M
-20.99%3.42M
323.76%3.59M
27.52%12.53M
10.96%3.03M
Net income from continuing operations
5.16%2.22M
5.14%2.13M
1.69%2.11M
23.62%8.49M
2.20%2.28M
13.60%2.11M
42.97%2.02M
52.24%2.07M
54.21%6.86M
30.22%2.23M
Operating gains losses
-745.74%-795K
119.02%31K
-97.21%61K
713.50%1.63M
-155.27%-304K
24.80%-94K
-73.40%-163K
1,770.23%2.19M
366.67%200K
2,955.56%550K
Depreciation and amortization
-3.76%409K
-5.59%422K
-8.35%428K
-5.63%1.78M
-6.62%437K
-13.09%425K
-3.87%447K
1.52%467K
-7.43%1.88M
0.65%468K
Deferred tax
220.19%125K
431.43%116K
192.51%395K
136.24%133K
1,305.17%699K
78.06%-104K
66.35%-35K
-258.74%-427K
8.48%-367K
89.66%-58K
Change in working capital
-119.53%-257K
-135.75%-247K
-98.35%-2.29M
371.05%103K
10.38%-751K
4.28%1.32M
-56.13%691K
43.40%-1.15M
-103.68%-38K
-312.15%-838K
-Change in receivables
132.08%119K
242.69%361K
-252.21%-172K
-112.09%-965K
-41.88%-454K
-804.88%-371K
-26.50%-253K
6.60%113K
-281.27%-455K
-988.89%-320K
-Change in payables and accrued expense
-98.67%4K
-56.79%312K
-235.04%-316K
271.54%1.42M
248.21%166K
32.60%301K
286.10%722K
188.89%234K
663.24%383K
-373.17%-112K
-Change in other current assets
-164.74%-481K
-311.49%-552K
130.36%136K
-462.76%-1.21M
-323.02%-1.76M
245.58%743K
-74.64%261K
9.31%-448K
-70.71%333K
-189.68%-417K
-Change in other current liabilities
-73.30%192K
-1,117.14%-356K
-81.21%-1.77M
385.28%853K
9,700.00%1.08M
-16.49%719K
-93.74%35K
43.41%-979K
-4.18%-299K
107.48%11K
-Change in other working capital
-19.74%-91K
83.78%-12K
-120.55%-161K
----
----
---76K
---74K
---73K
----
----
Cash from discontinued operating activities
Operating cash flow
-51.50%1.94M
-25.57%2.55M
-76.99%825K
4.29%13.07M
-31.95%2.06M
-7.51%4M
-20.99%3.42M
323.76%3.59M
27.52%12.53M
10.96%3.03M
Investing cash flow
Cash flow from continuing investing activities
266.19%11.06M
59.80%-14.72M
421.35%11.4M
24.63%-60.45M
-50.87%-19.35M
79.62%-6.66M
35.26%-36.63M
-90.00%2.19M
25.96%-80.2M
28.67%-12.82M
Net investment purchase and sale
212.09%4.1M
-657.78%-17.96M
189.90%10.25M
77.00%-2.28M
-141.64%-5.38M
-170.15%-3.66M
116.23%3.22M
143.06%3.53M
77.83%-9.91M
190.59%12.92M
Net proceeds payment for loan
1,092.28%16.7M
108.24%3.23M
30.27%-1.82M
29.01%-49.65M
74.87%-6.12M
95.44%-1.68M
-4.89%-39.24M
-109.09%-2.61M
-7.41%-69.94M
-512.14%-24.35M
Net PPE purchase and sale
18.32%-446K
-121.67%-13K
-6,018.18%-673K
-153.07%-967K
-18.09%-470K
-401.66%-546K
-90.12%60K
-100.77%-11K
47.05%1.82M
-254.86%-398K
Net other investing changes
304.30%713K
--0
-26.84%-293K
132.31%158K
46.15%950K
68.98%-349K
-524.00%-212K
-260.94%-231K
-284.53%-489K
--650K
Cash from discontinued investing activities
Investing cash flow
266.19%11.06M
59.80%-14.72M
421.35%11.4M
24.63%-60.45M
-50.87%-19.35M
79.62%-6.66M
35.26%-36.63M
-90.00%2.19M
25.96%-80.2M
28.67%-12.82M
Financing cash flow
Cash flow from continuing financing activities
288.46%11.09M
-74.26%10.16M
-106.97%-2.26M
84.55%67.51M
-54.07%1.44M
-118.74%-5.88M
433.56%39.45M
134.14%32.5M
-44.00%36.58M
153.36%3.13M
Increase decrease in deposit
577.53%26.69M
-67.80%11.19M
-124.85%-6.92M
151.31%80.17M
-1.43%23.15M
-349.44%-5.59M
493.87%34.74M
85.84%27.86M
-42.95%31.9M
369.48%23.49M
Net issuance payments of debt
---15M
--0
0.77%5M
-200.46%-10.04M
0.34%-20M
--0
11,011.11%5M
14,494.12%4.96M
-6.46%9.99M
-288.22%-20.07M
Net commonstock issuance
---319K
----
----
68.27%-1.42M
---1.42M
--0
----
----
-753.52%-4.48M
--0
Cash dividends paid
2.72%-286K
1.37%-289K
1.70%-289K
-41.23%-1.18M
-1.03%-294K
-68.00%-294K
-61.88%-293K
-58.92%-294K
-11.68%-832K
-56.45%-291K
Proceeds from stock option exercised by employees
--0
--74K
-108.00%-52K
---25K
--0
--0
--0
---25K
--0
--0
Cash from discontinued financing activities
Financing cash flow
288.46%11.09M
-74.26%10.16M
-106.97%-2.26M
84.55%67.51M
-54.07%1.44M
-118.74%-5.88M
433.56%39.45M
134.14%32.5M
-44.00%36.58M
153.36%3.13M
Net cash flow
Beginning cash position
-22.03%58.22M
-11.96%60.24M
66.75%50.28M
-50.77%30.15M
79.60%66.13M
121.17%74.67M
-30.06%68.43M
-50.77%30.15M
-35.13%61.24M
-51.08%36.82M
Current changes in cash
382.11%24.09M
-132.40%-2.02M
-73.97%9.96M
164.73%20.13M
-137.70%-15.85M
-379.14%-8.54M
109.74%6.24M
4.59%38.28M
6.27%-31.09M
52.43%-6.67M
End cash position
24.47%82.31M
-22.03%58.22M
-11.96%60.24M
66.75%50.28M
66.75%50.28M
79.60%66.13M
121.17%74.67M
-30.06%68.43M
-50.77%30.15M
-50.77%30.15M
Free cash flow
-60.89%1.28M
-29.26%2.35M
-104.12%-142K
2.98%11.6M
-35.37%1.58M
-18.30%3.26M
-19.21%3.32M
373.35%3.45M
25.15%11.27M
-4.58%2.44M
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
--
--
--
--
--
--
(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(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -51.50%1.94M-25.57%2.55M-76.99%825K4.29%13.07M-31.95%2.06M-7.51%4M-20.99%3.42M323.76%3.59M27.52%12.53M10.96%3.03M
Net income from continuing operations 5.16%2.22M5.14%2.13M1.69%2.11M23.62%8.49M2.20%2.28M13.60%2.11M42.97%2.02M52.24%2.07M54.21%6.86M30.22%2.23M
Operating gains losses -745.74%-795K119.02%31K-97.21%61K713.50%1.63M-155.27%-304K24.80%-94K-73.40%-163K1,770.23%2.19M366.67%200K2,955.56%550K
Depreciation and amortization -3.76%409K-5.59%422K-8.35%428K-5.63%1.78M-6.62%437K-13.09%425K-3.87%447K1.52%467K-7.43%1.88M0.65%468K
Deferred tax 220.19%125K431.43%116K192.51%395K136.24%133K1,305.17%699K78.06%-104K66.35%-35K-258.74%-427K8.48%-367K89.66%-58K
Change in working capital -119.53%-257K-135.75%-247K-98.35%-2.29M371.05%103K10.38%-751K4.28%1.32M-56.13%691K43.40%-1.15M-103.68%-38K-312.15%-838K
-Change in receivables 132.08%119K242.69%361K-252.21%-172K-112.09%-965K-41.88%-454K-804.88%-371K-26.50%-253K6.60%113K-281.27%-455K-988.89%-320K
-Change in payables and accrued expense -98.67%4K-56.79%312K-235.04%-316K271.54%1.42M248.21%166K32.60%301K286.10%722K188.89%234K663.24%383K-373.17%-112K
-Change in other current assets -164.74%-481K-311.49%-552K130.36%136K-462.76%-1.21M-323.02%-1.76M245.58%743K-74.64%261K9.31%-448K-70.71%333K-189.68%-417K
-Change in other current liabilities -73.30%192K-1,117.14%-356K-81.21%-1.77M385.28%853K9,700.00%1.08M-16.49%719K-93.74%35K43.41%-979K-4.18%-299K107.48%11K
-Change in other working capital -19.74%-91K83.78%-12K-120.55%-161K-----------76K---74K---73K--------
Cash from discontinued operating activities
Operating cash flow -51.50%1.94M-25.57%2.55M-76.99%825K4.29%13.07M-31.95%2.06M-7.51%4M-20.99%3.42M323.76%3.59M27.52%12.53M10.96%3.03M
Investing cash flow
Cash flow from continuing investing activities 266.19%11.06M59.80%-14.72M421.35%11.4M24.63%-60.45M-50.87%-19.35M79.62%-6.66M35.26%-36.63M-90.00%2.19M25.96%-80.2M28.67%-12.82M
Net investment purchase and sale 212.09%4.1M-657.78%-17.96M189.90%10.25M77.00%-2.28M-141.64%-5.38M-170.15%-3.66M116.23%3.22M143.06%3.53M77.83%-9.91M190.59%12.92M
Net proceeds payment for loan 1,092.28%16.7M108.24%3.23M30.27%-1.82M29.01%-49.65M74.87%-6.12M95.44%-1.68M-4.89%-39.24M-109.09%-2.61M-7.41%-69.94M-512.14%-24.35M
Net PPE purchase and sale 18.32%-446K-121.67%-13K-6,018.18%-673K-153.07%-967K-18.09%-470K-401.66%-546K-90.12%60K-100.77%-11K47.05%1.82M-254.86%-398K
Net other investing changes 304.30%713K--0-26.84%-293K132.31%158K46.15%950K68.98%-349K-524.00%-212K-260.94%-231K-284.53%-489K--650K
Cash from discontinued investing activities
Investing cash flow 266.19%11.06M59.80%-14.72M421.35%11.4M24.63%-60.45M-50.87%-19.35M79.62%-6.66M35.26%-36.63M-90.00%2.19M25.96%-80.2M28.67%-12.82M
Financing cash flow
Cash flow from continuing financing activities 288.46%11.09M-74.26%10.16M-106.97%-2.26M84.55%67.51M-54.07%1.44M-118.74%-5.88M433.56%39.45M134.14%32.5M-44.00%36.58M153.36%3.13M
Increase decrease in deposit 577.53%26.69M-67.80%11.19M-124.85%-6.92M151.31%80.17M-1.43%23.15M-349.44%-5.59M493.87%34.74M85.84%27.86M-42.95%31.9M369.48%23.49M
Net issuance payments of debt ---15M--00.77%5M-200.46%-10.04M0.34%-20M--011,011.11%5M14,494.12%4.96M-6.46%9.99M-288.22%-20.07M
Net commonstock issuance ---319K--------68.27%-1.42M---1.42M--0---------753.52%-4.48M--0
Cash dividends paid 2.72%-286K1.37%-289K1.70%-289K-41.23%-1.18M-1.03%-294K-68.00%-294K-61.88%-293K-58.92%-294K-11.68%-832K-56.45%-291K
Proceeds from stock option exercised by employees --0--74K-108.00%-52K---25K--0--0--0---25K--0--0
Cash from discontinued financing activities
Financing cash flow 288.46%11.09M-74.26%10.16M-106.97%-2.26M84.55%67.51M-54.07%1.44M-118.74%-5.88M433.56%39.45M134.14%32.5M-44.00%36.58M153.36%3.13M
Net cash flow
Beginning cash position -22.03%58.22M-11.96%60.24M66.75%50.28M-50.77%30.15M79.60%66.13M121.17%74.67M-30.06%68.43M-50.77%30.15M-35.13%61.24M-51.08%36.82M
Current changes in cash 382.11%24.09M-132.40%-2.02M-73.97%9.96M164.73%20.13M-137.70%-15.85M-379.14%-8.54M109.74%6.24M4.59%38.28M6.27%-31.09M52.43%-6.67M
End cash position 24.47%82.31M-22.03%58.22M-11.96%60.24M66.75%50.28M66.75%50.28M79.60%66.13M121.17%74.67M-30.06%68.43M-50.77%30.15M-50.77%30.15M
Free cash flow -60.89%1.28M-29.26%2.35M-104.12%-142K2.98%11.6M-35.37%1.58M-18.30%3.26M-19.21%3.32M373.35%3.45M25.15%11.27M-4.58%2.44M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes------------
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