US Stock MarketDetailed Quotes

NSTS Bancorp (NSTS)

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  • 12.410
  • -0.030-0.24%
Close Apr 16 16:00 ET
65.30MMarket Cap-155.13P/E (TTM)

NSTS Bancorp (NSTS) 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
-57.04%4.05M
-65.69%3.21M
77.32%2.86M
140.13%655K
-3,008.70%-2.68M
2,088.63%9.43M
13,663.24%9.36M
611.01%1.61M
-1,185.04%-1.63M
-65.02%92K
Net income from continuing operations
51.08%-386K
393.48%135K
138.01%65K
20.86%-258K
-33.33%-328K
80.06%-789K
98.78%-46K
26.29%-171K
-158.73%-326K
-244.71%-246K
Operating gains losses
-25.70%-1.57M
13.45%-476K
-46.64%-393K
-87.08%-507K
-21.15%-189K
-170.66%-1.25M
-130.99%-550K
---268K
-13,450.00%-271K
-1,318.18%-156K
Depreciation and amortization
3.07%302K
1.35%75K
7.14%75K
2.67%77K
1.35%75K
10.15%293K
1.37%74K
9.38%70K
17.19%75K
13.85%74K
Other non cashItems
-30.87%5.93M
-62.12%3.15M
17.17%2.66M
155.46%1.36M
-380.81%-1.24M
1,687.22%8.57M
3,635.32%8.31M
1,105.31%2.27M
-5,472.73%-2.45M
1,365.71%443K
Change in working capital
-236.78%-1.42M
-86.37%161K
122.97%150K
-149.66%-433K
-255.77%-1.3M
-29.43%1.04M
-26.46%1.18M
-398.17%-653K
424.16%872K
-313.64%-364K
-Change in receivables
-1,793.48%-871K
-107.38%-61K
57.18%-376K
124.37%97K
-231.76%-531K
-127.88%-46K
808.79%827K
-12,442.86%-878K
-332.61%-398K
132.95%403K
-Change in payables and accrued expense
-236.14%-1.68M
-96.52%37K
133.44%205K
-154.73%-729K
-118.10%-1.19M
294.25%1.23M
102.29%1.06M
-371.24%-613K
852.54%1.33M
-109.58%-547K
-Change in deferred charges
846.05%1.13M
126.13%185K
-61.69%321K
420.97%199K
295.00%429K
-115.35%-152K
---708K
--838K
---62K
---220K
Cash from discontinued operating activities
Operating cash flow
-57.04%4.05M
-65.69%3.21M
77.32%2.86M
140.13%655K
-3,008.70%-2.68M
2,088.63%9.43M
13,663.24%9.36M
611.01%1.61M
-1,185.04%-1.63M
-65.02%92K
Investing cash flow
Cash flow from continuing investing activities
-19.66%-9.77M
163.31%723K
-1,838.41%-8.78M
-170.55%-4.13M
148.10%2.42M
-132.72%-8.16M
-106.49%-1.14M
-119.82%-453K
-156.22%-1.53M
-313.38%-5.04M
Proceeds payment in interest bearing deposits in bank
-49.90%249K
--0
150.00%249K
----
----
-80.01%497K
--0
-200.00%-498K
-33.22%995K
--0
Net investment purchase and sale
-140.18%-3.95M
0.36%1.39M
-411.90%-8.96M
-68.43%1.31M
61.24%2.32M
-75.89%9.84M
-95.71%1.38M
-27.33%2.87M
66.59%4.14M
-33.32%1.44M
Net proceeds payment for loan
67.25%-5.94M
72.54%-656K
97.73%-63K
17.38%-5.38M
102.49%161K
-1.83%-18.14M
82.85%-2.39M
-32.68%-2.78M
-419.54%-6.52M
-1,096.48%-6.46M
Net PPE purchase and sale
67.40%-104K
94.07%-8K
94.23%-3K
66.38%-39K
-237.50%-54K
38.18%-319K
69.11%-135K
29.73%-52K
-2,220.00%-116K
---16K
Net other investing changes
42.86%-20K
--0
--0
----
----
---35K
--0
--0
----
----
Cash from discontinued investing activities
Investing cash flow
-19.66%-9.77M
163.31%723K
-1,838.41%-8.78M
-170.55%-4.13M
148.10%2.42M
-132.72%-8.16M
-106.49%-1.14M
-119.82%-453K
-156.22%-1.53M
-313.38%-5.04M
Financing cash flow
Cash flow from continuing financing activities
-165.90%-13.72M
-137.73%-4.03M
-843.40%-7.43M
-743.56%-6.49M
-57.41%4.23M
391.64%20.82M
250.25%10.67M
132.47%1M
35.38%-769K
267.65%9.92M
Increase decrease in deposit
-140.69%-8.82M
-138.05%-4.24M
-713.37%-7.43M
-138.17%-1.38M
-57.41%4.23M
322.23%21.69M
173.36%11.13M
151.05%1.21M
89.55%-579K
267.65%9.92M
Net issuance payments of debt
---5M
--0
--0
----
----
--0
--0
--0
----
----
Net commonstock issuance
89.43%-114K
98.70%-6K
--0
----
----
54.68%-1.08M
54.97%-462K
39.52%-427K
----
----
Proceeds from stock option exercised by employees
0.00%215K
--215K
----
----
----
--215K
--0
--215K
----
----
Cash from discontinued financing activities
Financing cash flow
-165.90%-13.72M
-137.73%-4.03M
-843.40%-7.43M
-743.56%-6.49M
-57.41%4.23M
391.64%20.82M
250.25%10.67M
132.47%1M
35.38%-769K
267.65%9.92M
Net cash flow
Beginning cash position
70.39%53.48M
-1.32%34.14M
46.43%47.49M
58.01%57.45M
70.39%53.48M
138.75%31.39M
223.62%34.59M
188.12%32.43M
268.95%36.36M
138.75%31.39M
Current changes in cash
-187.99%-19.44M
-100.49%-93K
-717.91%-13.35M
-153.65%-9.97M
-20.09%3.97M
21.12%22.09M
-8.74%18.89M
481.13%2.16M
-380.44%-3.93M
251.03%4.97M
End cash position
-36.35%34.04M
-36.35%34.04M
-1.32%34.14M
46.43%47.49M
58.01%57.45M
70.39%53.48M
70.39%53.48M
223.62%34.59M
188.12%32.43M
268.95%36.36M
Free cash flow
-56.68%3.95M
-65.28%3.2M
83.03%2.86M
135.24%616K
-3,692.11%-2.73M
10,822.35%9.11M
2,599.73%9.22M
920.92%1.56M
-1,224.24%-1.75M
-71.10%76K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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--
Unqualified Opinion
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(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 -57.04%4.05M-65.69%3.21M77.32%2.86M140.13%655K-3,008.70%-2.68M2,088.63%9.43M13,663.24%9.36M611.01%1.61M-1,185.04%-1.63M-65.02%92K
Net income from continuing operations 51.08%-386K393.48%135K138.01%65K20.86%-258K-33.33%-328K80.06%-789K98.78%-46K26.29%-171K-158.73%-326K-244.71%-246K
Operating gains losses -25.70%-1.57M13.45%-476K-46.64%-393K-87.08%-507K-21.15%-189K-170.66%-1.25M-130.99%-550K---268K-13,450.00%-271K-1,318.18%-156K
Depreciation and amortization 3.07%302K1.35%75K7.14%75K2.67%77K1.35%75K10.15%293K1.37%74K9.38%70K17.19%75K13.85%74K
Other non cashItems -30.87%5.93M-62.12%3.15M17.17%2.66M155.46%1.36M-380.81%-1.24M1,687.22%8.57M3,635.32%8.31M1,105.31%2.27M-5,472.73%-2.45M1,365.71%443K
Change in working capital -236.78%-1.42M-86.37%161K122.97%150K-149.66%-433K-255.77%-1.3M-29.43%1.04M-26.46%1.18M-398.17%-653K424.16%872K-313.64%-364K
-Change in receivables -1,793.48%-871K-107.38%-61K57.18%-376K124.37%97K-231.76%-531K-127.88%-46K808.79%827K-12,442.86%-878K-332.61%-398K132.95%403K
-Change in payables and accrued expense -236.14%-1.68M-96.52%37K133.44%205K-154.73%-729K-118.10%-1.19M294.25%1.23M102.29%1.06M-371.24%-613K852.54%1.33M-109.58%-547K
-Change in deferred charges 846.05%1.13M126.13%185K-61.69%321K420.97%199K295.00%429K-115.35%-152K---708K--838K---62K---220K
Cash from discontinued operating activities
Operating cash flow -57.04%4.05M-65.69%3.21M77.32%2.86M140.13%655K-3,008.70%-2.68M2,088.63%9.43M13,663.24%9.36M611.01%1.61M-1,185.04%-1.63M-65.02%92K
Investing cash flow
Cash flow from continuing investing activities -19.66%-9.77M163.31%723K-1,838.41%-8.78M-170.55%-4.13M148.10%2.42M-132.72%-8.16M-106.49%-1.14M-119.82%-453K-156.22%-1.53M-313.38%-5.04M
Proceeds payment in interest bearing deposits in bank -49.90%249K--0150.00%249K---------80.01%497K--0-200.00%-498K-33.22%995K--0
Net investment purchase and sale -140.18%-3.95M0.36%1.39M-411.90%-8.96M-68.43%1.31M61.24%2.32M-75.89%9.84M-95.71%1.38M-27.33%2.87M66.59%4.14M-33.32%1.44M
Net proceeds payment for loan 67.25%-5.94M72.54%-656K97.73%-63K17.38%-5.38M102.49%161K-1.83%-18.14M82.85%-2.39M-32.68%-2.78M-419.54%-6.52M-1,096.48%-6.46M
Net PPE purchase and sale 67.40%-104K94.07%-8K94.23%-3K66.38%-39K-237.50%-54K38.18%-319K69.11%-135K29.73%-52K-2,220.00%-116K---16K
Net other investing changes 42.86%-20K--0--0-----------35K--0--0--------
Cash from discontinued investing activities
Investing cash flow -19.66%-9.77M163.31%723K-1,838.41%-8.78M-170.55%-4.13M148.10%2.42M-132.72%-8.16M-106.49%-1.14M-119.82%-453K-156.22%-1.53M-313.38%-5.04M
Financing cash flow
Cash flow from continuing financing activities -165.90%-13.72M-137.73%-4.03M-843.40%-7.43M-743.56%-6.49M-57.41%4.23M391.64%20.82M250.25%10.67M132.47%1M35.38%-769K267.65%9.92M
Increase decrease in deposit -140.69%-8.82M-138.05%-4.24M-713.37%-7.43M-138.17%-1.38M-57.41%4.23M322.23%21.69M173.36%11.13M151.05%1.21M89.55%-579K267.65%9.92M
Net issuance payments of debt ---5M--0--0----------0--0--0--------
Net commonstock issuance 89.43%-114K98.70%-6K--0--------54.68%-1.08M54.97%-462K39.52%-427K--------
Proceeds from stock option exercised by employees 0.00%215K--215K--------------215K--0--215K--------
Cash from discontinued financing activities
Financing cash flow -165.90%-13.72M-137.73%-4.03M-843.40%-7.43M-743.56%-6.49M-57.41%4.23M391.64%20.82M250.25%10.67M132.47%1M35.38%-769K267.65%9.92M
Net cash flow
Beginning cash position 70.39%53.48M-1.32%34.14M46.43%47.49M58.01%57.45M70.39%53.48M138.75%31.39M223.62%34.59M188.12%32.43M268.95%36.36M138.75%31.39M
Current changes in cash -187.99%-19.44M-100.49%-93K-717.91%-13.35M-153.65%-9.97M-20.09%3.97M21.12%22.09M-8.74%18.89M481.13%2.16M-380.44%-3.93M251.03%4.97M
End cash position -36.35%34.04M-36.35%34.04M-1.32%34.14M46.43%47.49M58.01%57.45M70.39%53.48M70.39%53.48M223.62%34.59M188.12%32.43M268.95%36.36M
Free cash flow -56.68%3.95M-65.28%3.2M83.03%2.86M135.24%616K-3,692.11%-2.73M10,822.35%9.11M2,599.73%9.22M920.92%1.56M-1,224.24%-1.75M-71.10%76K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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