US Stock MarketDetailed Quotes

NKSH National Bankshares

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  • 29.200
  • -0.070-0.24%
Close Nov 4 16:00 ET
  • 29.200
  • 0.0000.00%
Post 20:02 ET
185.74MMarket Cap20.00P/E (TTM)

National Bankshares 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
-188.20%-2.95M
-11.38%3.84M
-47.38%15.52M
-80.49%2.19M
-31.17%5.66M
-0.71%3.34M
-35.18%4.33M
28.92%29.5M
115.82%11.23M
27.09%8.22M
Net income from continuing operations
-107.84%-306K
-52.02%2.17M
-39.49%15.69M
-55.05%4.19M
-50.11%3.07M
-30.01%3.9M
-7.27%4.53M
27.23%25.93M
77.30%9.31M
7.13%6.16M
Operating gains losses
-101.76%-58K
14.29%-24K
2,042.77%3.23M
46.15%-14K
50.00%-22K
9,497.14%3.29M
54.10%-28K
55.14%-166K
66.67%-26K
42.11%-44K
Depreciation and amortization
22.29%214K
28.83%210K
23.81%754K
31.25%210K
36.42%206K
21.53%175K
5.84%163K
-4.25%609K
5.26%160K
-5.03%151K
Deferred tax
----
----
788.07%750K
----
----
----
----
-171.71%-109K
----
----
Other non cashItems
-96.26%-367K
178.90%172K
-1,272.48%-1.28M
-2,253.85%-560K
-192.33%-313K
73.05%-187K
-149.77%-218K
140.37%109K
104.74%26K
282.26%339K
Change in working capital
2.24%-4.02M
377.57%1.03M
-399.23%-3.48M
-214.43%-1.8M
167.27%2.81M
-84.00%-4.12M
-147.74%-370K
9.42%1.16M
1,908.05%1.57M
32.53%1.05M
-Change in receivables
-30.80%200K
-2,650.00%-165K
65.22%-312K
25.70%-133K
-46.20%-462K
495.89%289K
98.18%-6K
-1,080.26%-897K
-414.04%-179K
-377.19%-316K
-Change in payables and accrued expense
-129.63%-124K
427.88%1.1M
2,158.62%1.31M
1,210.61%865K
4,950.00%291K
-980.00%-54K
6,833.33%208K
825.00%58K
3,200.00%66K
-200.00%-6K
-Change in other current assets
-111.75%-5.71M
-78.00%44K
-7,070.83%-1.72M
-3,022.81%-1.78M
230.23%2.56M
-121.07%-2.7M
-58.25%200K
-101.44%-24K
-115.49%-57K
-14.85%774K
-Change in other current liabilities
197.40%1.61M
106.48%50K
-236.00%-2.75M
-143.14%-752K
-29.22%424K
-76.14%-1.65M
-224.12%-772K
493.20%2.03M
439.11%1.74M
362.72%599K
Cash from discontinued operating activities
Operating cash flow
-188.20%-2.95M
-11.38%3.84M
-47.38%15.52M
-80.49%2.19M
-31.17%5.66M
-0.71%3.34M
-35.18%4.33M
28.92%29.5M
115.82%11.23M
27.09%8.22M
Investing cash flow
Cash flow from continuing investing activities
-81.80%7.42M
-119.28%-3.1M
141.01%53.19M
-168.88%-3.41M
98.61%-242K
191.89%40.78M
122.05%16.06M
32.88%-129.71M
109.00%4.95M
-257.57%-17.44M
Net investment purchase and sale
-55.22%13.64M
-79.67%4.15M
173.34%57.72M
-22.11%4.03M
122.21%2.82M
307.10%30.46M
136.16%20.41M
48.92%-78.71M
110.92%5.17M
55.31%-12.72M
Net proceeds payment for loan
-168.38%-7.11M
-67.49%-6.95M
91.73%-4.11M
-6,657.50%-7.87M
40.38%-2.48M
135.20%10.39M
74.24%-4.15M
-42.21%-49.66M
102.10%120K
-153.97%-4.16M
Net PPE purchase and sale
-28.93%-1.02M
-41.26%-315K
-19.46%-1.49M
33.53%-228K
54.58%-253K
-415.03%-788K
-13.78%-223K
-286.69%-1.25M
-572.55%-343K
-547.67%-557K
Net other investing changes
-65.03%249K
-23.81%16K
1,210.42%1.07M
--664K
---331K
--712K
121.88%21K
97.56%-96K
--0
--0
Cash from discontinued investing activities
Investing cash flow
-81.80%7.42M
-119.28%-3.1M
141.01%53.19M
-168.88%-3.41M
98.61%-242K
191.89%40.78M
122.05%16.06M
32.88%-129.71M
109.00%4.95M
-257.57%-17.44M
Financing cash flow
Cash flow from continuing financing activities
6.77%-26.78M
191.05%33.84M
-262.97%-53.54M
197.75%34.38M
-176.33%-22.03M
-201.31%-28.72M
-178.00%-37.16M
-81.26%32.85M
-162.69%-35.17M
59.36%-7.97M
Increase decrease in deposit
7.97%-22.47M
208.20%33.84M
-180.50%-38.75M
239.56%38.97M
-206.77%-22.03M
-171.66%-24.42M
-163.61%-31.27M
-75.62%48.14M
-145.15%-27.92M
57.48%-7.18M
Net commonstock issuance
----
----
--0
--0
----
----
----
52.54%-6.34M
-105.99%-2.61M
70.85%-796K
Cash dividends paid
-0.07%-4.3M
--0
-65.18%-14.78M
0.78%-4.6M
--0
0.58%-4.3M
---5.89M
-1.64%-8.95M
-3.21%-4.63M
--5K
Cash from discontinued financing activities
Financing cash flow
6.77%-26.78M
191.05%33.84M
-262.97%-53.54M
197.75%34.38M
-176.33%-22.03M
-201.31%-28.72M
-178.00%-37.16M
-81.26%32.85M
-162.69%-35.17M
59.36%-7.97M
Net cash flow
Beginning cash position
121.70%121.18M
21.24%86.6M
-48.53%71.43M
-40.90%53.44M
-34.90%70.06M
-54.55%54.66M
-48.53%71.43M
3.67%138.79M
671.00%90.42M
679.05%107.61M
Current changes in cash
-244.85%-22.3M
306.23%34.58M
122.53%15.17M
274.59%33.16M
3.33%-16.61M
221.56%15.4M
9.43%-16.77M
-1,469.94%-67.36M
-399.78%-18.99M
-724.32%-17.19M
End cash position
41.15%98.88M
121.70%121.18M
21.24%86.6M
21.24%86.6M
-40.90%53.44M
-34.90%70.06M
-54.55%54.66M
-48.53%71.43M
-48.53%71.43M
671.00%90.42M
Free cash flow
-255.27%-3.96M
-14.23%3.53M
-50.32%14.03M
-81.95%1.96M
-29.47%5.41M
-20.53%2.55M
-36.66%4.11M
25.19%28.24M
111.12%10.88M
20.08%7.67M
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
--
--
(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 -188.20%-2.95M-11.38%3.84M-47.38%15.52M-80.49%2.19M-31.17%5.66M-0.71%3.34M-35.18%4.33M28.92%29.5M115.82%11.23M27.09%8.22M
Net income from continuing operations -107.84%-306K-52.02%2.17M-39.49%15.69M-55.05%4.19M-50.11%3.07M-30.01%3.9M-7.27%4.53M27.23%25.93M77.30%9.31M7.13%6.16M
Operating gains losses -101.76%-58K14.29%-24K2,042.77%3.23M46.15%-14K50.00%-22K9,497.14%3.29M54.10%-28K55.14%-166K66.67%-26K42.11%-44K
Depreciation and amortization 22.29%214K28.83%210K23.81%754K31.25%210K36.42%206K21.53%175K5.84%163K-4.25%609K5.26%160K-5.03%151K
Deferred tax --------788.07%750K-----------------171.71%-109K--------
Other non cashItems -96.26%-367K178.90%172K-1,272.48%-1.28M-2,253.85%-560K-192.33%-313K73.05%-187K-149.77%-218K140.37%109K104.74%26K282.26%339K
Change in working capital 2.24%-4.02M377.57%1.03M-399.23%-3.48M-214.43%-1.8M167.27%2.81M-84.00%-4.12M-147.74%-370K9.42%1.16M1,908.05%1.57M32.53%1.05M
-Change in receivables -30.80%200K-2,650.00%-165K65.22%-312K25.70%-133K-46.20%-462K495.89%289K98.18%-6K-1,080.26%-897K-414.04%-179K-377.19%-316K
-Change in payables and accrued expense -129.63%-124K427.88%1.1M2,158.62%1.31M1,210.61%865K4,950.00%291K-980.00%-54K6,833.33%208K825.00%58K3,200.00%66K-200.00%-6K
-Change in other current assets -111.75%-5.71M-78.00%44K-7,070.83%-1.72M-3,022.81%-1.78M230.23%2.56M-121.07%-2.7M-58.25%200K-101.44%-24K-115.49%-57K-14.85%774K
-Change in other current liabilities 197.40%1.61M106.48%50K-236.00%-2.75M-143.14%-752K-29.22%424K-76.14%-1.65M-224.12%-772K493.20%2.03M439.11%1.74M362.72%599K
Cash from discontinued operating activities
Operating cash flow -188.20%-2.95M-11.38%3.84M-47.38%15.52M-80.49%2.19M-31.17%5.66M-0.71%3.34M-35.18%4.33M28.92%29.5M115.82%11.23M27.09%8.22M
Investing cash flow
Cash flow from continuing investing activities -81.80%7.42M-119.28%-3.1M141.01%53.19M-168.88%-3.41M98.61%-242K191.89%40.78M122.05%16.06M32.88%-129.71M109.00%4.95M-257.57%-17.44M
Net investment purchase and sale -55.22%13.64M-79.67%4.15M173.34%57.72M-22.11%4.03M122.21%2.82M307.10%30.46M136.16%20.41M48.92%-78.71M110.92%5.17M55.31%-12.72M
Net proceeds payment for loan -168.38%-7.11M-67.49%-6.95M91.73%-4.11M-6,657.50%-7.87M40.38%-2.48M135.20%10.39M74.24%-4.15M-42.21%-49.66M102.10%120K-153.97%-4.16M
Net PPE purchase and sale -28.93%-1.02M-41.26%-315K-19.46%-1.49M33.53%-228K54.58%-253K-415.03%-788K-13.78%-223K-286.69%-1.25M-572.55%-343K-547.67%-557K
Net other investing changes -65.03%249K-23.81%16K1,210.42%1.07M--664K---331K--712K121.88%21K97.56%-96K--0--0
Cash from discontinued investing activities
Investing cash flow -81.80%7.42M-119.28%-3.1M141.01%53.19M-168.88%-3.41M98.61%-242K191.89%40.78M122.05%16.06M32.88%-129.71M109.00%4.95M-257.57%-17.44M
Financing cash flow
Cash flow from continuing financing activities 6.77%-26.78M191.05%33.84M-262.97%-53.54M197.75%34.38M-176.33%-22.03M-201.31%-28.72M-178.00%-37.16M-81.26%32.85M-162.69%-35.17M59.36%-7.97M
Increase decrease in deposit 7.97%-22.47M208.20%33.84M-180.50%-38.75M239.56%38.97M-206.77%-22.03M-171.66%-24.42M-163.61%-31.27M-75.62%48.14M-145.15%-27.92M57.48%-7.18M
Net commonstock issuance ----------0--0------------52.54%-6.34M-105.99%-2.61M70.85%-796K
Cash dividends paid -0.07%-4.3M--0-65.18%-14.78M0.78%-4.6M--00.58%-4.3M---5.89M-1.64%-8.95M-3.21%-4.63M--5K
Cash from discontinued financing activities
Financing cash flow 6.77%-26.78M191.05%33.84M-262.97%-53.54M197.75%34.38M-176.33%-22.03M-201.31%-28.72M-178.00%-37.16M-81.26%32.85M-162.69%-35.17M59.36%-7.97M
Net cash flow
Beginning cash position 121.70%121.18M21.24%86.6M-48.53%71.43M-40.90%53.44M-34.90%70.06M-54.55%54.66M-48.53%71.43M3.67%138.79M671.00%90.42M679.05%107.61M
Current changes in cash -244.85%-22.3M306.23%34.58M122.53%15.17M274.59%33.16M3.33%-16.61M221.56%15.4M9.43%-16.77M-1,469.94%-67.36M-399.78%-18.99M-724.32%-17.19M
End cash position 41.15%98.88M121.70%121.18M21.24%86.6M21.24%86.6M-40.90%53.44M-34.90%70.06M-54.55%54.66M-48.53%71.43M-48.53%71.43M671.00%90.42M
Free cash flow -255.27%-3.96M-14.23%3.53M-50.32%14.03M-81.95%1.96M-29.47%5.41M-20.53%2.55M-36.66%4.11M25.19%28.24M111.12%10.88M20.08%7.67M
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----

Analysis

Analyst Rating

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Price Target

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