US Stock MarketDetailed Quotes

WVFC WVS Financial

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  • 12.535
  • -0.040-0.32%
15min DelayClose Dec 20 16:00 ET
21.72MMarket Cap13.48P/E (TTM)

WVS Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q3)Mar 31, 2022
Assets
Cash cash equivalents and federal funds sold
--18.74M
8.38%27.28M
8.38%27.28M
--2.21M
--2.84M
463.99%25.17M
463.99%25.17M
53.84%4.46M
53.84%4.46M
-15.17%3.67M
-Cash and cash equivalents
--18.74M
8.38%27.28M
8.38%27.28M
--2.21M
--2.84M
463.99%25.17M
463.99%25.17M
53.84%4.46M
53.84%4.46M
-15.17%3.67M
Receivables
----
-1.39%1.5M
-1.39%1.5M
----
----
64.25%1.52M
64.25%1.52M
23.23%923K
23.23%923K
29.53%987K
-Accounts receivable
----
-1.39%1.5M
-1.39%1.5M
----
----
64.25%1.52M
64.25%1.52M
23.23%923K
23.23%923K
29.53%987K
Net loan
--78.28M
4.40%76.35M
4.40%76.35M
--74.86M
--72.59M
-4.38%73.14M
-4.38%73.14M
-5.20%76.49M
-5.20%76.49M
-11.74%76.17M
-Gross loan
--78.28M
4.51%76.82M
4.51%76.82M
--74.86M
--72.59M
-4.30%73.5M
-4.30%73.5M
-5.15%76.81M
-5.15%76.81M
-11.68%76.47M
-Allowance for loans and lease losses
----
14.26%537K
14.26%537K
----
----
-5.24%470K
-5.24%470K
-12.21%496K
-12.21%496K
-14.93%513K
-Unearned income
----
-30.19%74K
-30.19%74K
----
----
-40.45%106K
-40.45%106K
-35.97%178K
-35.97%178K
-34.38%208K
Securities and investments
----
-3.29%243.24M
-3.29%243.24M
----
----
-5.90%251.5M
-5.90%251.5M
7.11%267.28M
7.11%267.28M
29.66%274.65M
-Held to maturity securities
--201.77M
1.60%205.87M
1.60%205.87M
--209.67M
--212.65M
47.35%202.63M
47.35%202.63M
40.39%137.51M
40.39%137.51M
127.73%139.37M
-Short term investments
----
-23.53%37.37M
-23.53%37.37M
----
----
-62.34%48.87M
-62.34%48.87M
-14.39%129.76M
-14.39%129.76M
-10.19%135.29M
Federal home loan bank stock
----
3.11%5.07M
3.11%5.07M
----
----
-30.36%4.92M
-30.36%4.92M
16.84%7.06M
16.84%7.06M
40.09%6.79M
Bank owned life insurance
----
2.50%5.38M
2.50%5.38M
----
----
2.28%5.25M
2.28%5.25M
2.21%5.13M
2.21%5.13M
2.24%5.1M
Net PPE
----
-9.17%535K
-9.17%535K
----
----
2.43%589K
2.43%589K
-12.48%575K
-12.48%575K
-9.65%590K
-Gross PPE
----
0.33%3.05M
0.33%3.05M
----
----
2.71%3.04M
2.71%3.04M
-1.96%2.96M
-1.96%2.96M
----
-Accumulated depreciation
----
-2.57%-2.51M
-2.57%-2.51M
----
----
-2.81%-2.45M
-2.81%-2.45M
-0.98%-2.38M
-0.98%-2.38M
----
Other assets
--258.49M
98.18%218K
98.18%218K
--285.88M
--286.01M
-7.56%110K
-7.56%110K
-52.78%119K
-52.78%119K
70.66%442K
Total assets
--355.51M
-0.73%360.18M
-0.73%360.18M
--362.95M
--361.44M
0.02%362.84M
0.02%362.84M
4.83%362.78M
4.83%362.78M
17.36%368.8M
Liabilities
Total deposits
--119.82M
-9.61%122.91M
-9.61%122.91M
--125.62M
--127.29M
-8.93%135.98M
-8.93%135.98M
-3.74%149.31M
-3.74%149.31M
4.35%160.22M
Federal funds purchased and securities sold under agreement to repurchase
----
7.55%70.81M
7.55%70.81M
----
----
--65.84M
--65.84M
----
----
----
Payables
----
65.50%2.88M
65.50%2.88M
----
----
453.82%1.74M
453.82%1.74M
102.58%314K
102.58%314K
-29.19%114K
-Accounts payable
----
65.50%2.88M
65.50%2.88M
----
----
453.82%1.74M
453.82%1.74M
102.58%314K
102.58%314K
-29.19%114K
Current debt and capital lease obligation
--120.43M
-4.95%10.14M
-4.95%10.14M
--99.48M
--55.66M
-93.62%10.66M
-93.62%10.66M
47.85%167.21M
47.85%167.21M
94.28%161.82M
-Current debt
--120.43M
-4.95%10.14M
-4.95%10.14M
--99.48M
--55.66M
-93.62%10.66M
-93.62%10.66M
47.85%167.21M
47.85%167.21M
94.28%161.82M
Long term debt and capital lease obligation
----
3.60%110.85M
3.60%110.85M
----
----
2,040.00%107M
2,040.00%107M
-85.71%5M
-85.71%5M
-85.71%5M
-Long term debt
----
3.60%110.85M
3.60%110.85M
----
----
2,040.00%107M
2,040.00%107M
-85.71%5M
-85.71%5M
-85.71%5M
Other liabilities
--197.61M
9.20%4.84M
9.20%4.84M
--199.4M
--196.54M
6.03%4.43M
6.03%4.43M
-3.28%4.18M
-3.28%4.18M
6.58%3.99M
Total liabilities
--317.43M
-0.99%322.43M
-0.99%322.43M
--325.02M
--323.83M
-0.11%325.66M
-0.11%325.66M
5.96%326.02M
5.96%326.02M
20.10%331.14M
Shareholders'equity
Share capital
----
0.00%38K
0.00%38K
----
----
0.00%38K
0.00%38K
0.00%38K
0.00%38K
0.00%38K
-common stock
----
0.00%38K
0.00%38K
----
----
0.00%38K
0.00%38K
0.00%38K
0.00%38K
0.00%38K
-Preferred stock
----
--0
--0
----
----
--0
--0
--0
--0
--0
Paid-in capital
----
-0.01%21.63M
-0.01%21.63M
----
----
0.04%21.63M
0.04%21.63M
0.13%21.62M
0.13%21.62M
0.14%21.62M
Retained earnings
----
1.36%49.44M
1.36%49.44M
----
----
2.18%48.77M
2.18%48.77M
1.16%47.73M
1.16%47.73M
1.06%47.6M
Less: Treasury stock
----
1.76%31.72M
1.76%31.72M
----
----
4.55%31.17M
4.55%31.17M
2.39%29.82M
2.39%29.82M
1.24%29.19M
Gains losses not affecting retained earnings
----
65.43%-187K
65.43%-187K
----
----
52.67%-541K
52.67%-541K
-327.69%-1.14M
-327.69%-1.14M
-254.41%-701K
Other equity interest
----
7.21%-1.44M
7.21%-1.44M
----
----
7.45%-1.55M
7.45%-1.55M
7.50%-1.68M
7.50%-1.68M
7.56%-1.71M
Total stockholders'equity
--38.08M
1.55%37.75M
1.55%37.75M
--37.93M
--37.62M
1.14%37.18M
1.14%37.18M
-4.25%36.76M
-4.25%36.76M
-2.20%37.66M
Total equity
--38.08M
1.55%37.75M
1.55%37.75M
--37.93M
--37.62M
1.14%37.18M
1.14%37.18M
-4.25%36.76M
-4.25%36.76M
-2.20%37.66M
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
--
Unqualified Opinion
--
--
(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q3)Mar 31, 2022
Assets
Cash cash equivalents and federal funds sold --18.74M8.38%27.28M8.38%27.28M--2.21M--2.84M463.99%25.17M463.99%25.17M53.84%4.46M53.84%4.46M-15.17%3.67M
-Cash and cash equivalents --18.74M8.38%27.28M8.38%27.28M--2.21M--2.84M463.99%25.17M463.99%25.17M53.84%4.46M53.84%4.46M-15.17%3.67M
Receivables -----1.39%1.5M-1.39%1.5M--------64.25%1.52M64.25%1.52M23.23%923K23.23%923K29.53%987K
-Accounts receivable -----1.39%1.5M-1.39%1.5M--------64.25%1.52M64.25%1.52M23.23%923K23.23%923K29.53%987K
Net loan --78.28M4.40%76.35M4.40%76.35M--74.86M--72.59M-4.38%73.14M-4.38%73.14M-5.20%76.49M-5.20%76.49M-11.74%76.17M
-Gross loan --78.28M4.51%76.82M4.51%76.82M--74.86M--72.59M-4.30%73.5M-4.30%73.5M-5.15%76.81M-5.15%76.81M-11.68%76.47M
-Allowance for loans and lease losses ----14.26%537K14.26%537K---------5.24%470K-5.24%470K-12.21%496K-12.21%496K-14.93%513K
-Unearned income -----30.19%74K-30.19%74K---------40.45%106K-40.45%106K-35.97%178K-35.97%178K-34.38%208K
Securities and investments -----3.29%243.24M-3.29%243.24M---------5.90%251.5M-5.90%251.5M7.11%267.28M7.11%267.28M29.66%274.65M
-Held to maturity securities --201.77M1.60%205.87M1.60%205.87M--209.67M--212.65M47.35%202.63M47.35%202.63M40.39%137.51M40.39%137.51M127.73%139.37M
-Short term investments -----23.53%37.37M-23.53%37.37M---------62.34%48.87M-62.34%48.87M-14.39%129.76M-14.39%129.76M-10.19%135.29M
Federal home loan bank stock ----3.11%5.07M3.11%5.07M---------30.36%4.92M-30.36%4.92M16.84%7.06M16.84%7.06M40.09%6.79M
Bank owned life insurance ----2.50%5.38M2.50%5.38M--------2.28%5.25M2.28%5.25M2.21%5.13M2.21%5.13M2.24%5.1M
Net PPE -----9.17%535K-9.17%535K--------2.43%589K2.43%589K-12.48%575K-12.48%575K-9.65%590K
-Gross PPE ----0.33%3.05M0.33%3.05M--------2.71%3.04M2.71%3.04M-1.96%2.96M-1.96%2.96M----
-Accumulated depreciation -----2.57%-2.51M-2.57%-2.51M---------2.81%-2.45M-2.81%-2.45M-0.98%-2.38M-0.98%-2.38M----
Other assets --258.49M98.18%218K98.18%218K--285.88M--286.01M-7.56%110K-7.56%110K-52.78%119K-52.78%119K70.66%442K
Total assets --355.51M-0.73%360.18M-0.73%360.18M--362.95M--361.44M0.02%362.84M0.02%362.84M4.83%362.78M4.83%362.78M17.36%368.8M
Liabilities
Total deposits --119.82M-9.61%122.91M-9.61%122.91M--125.62M--127.29M-8.93%135.98M-8.93%135.98M-3.74%149.31M-3.74%149.31M4.35%160.22M
Federal funds purchased and securities sold under agreement to repurchase ----7.55%70.81M7.55%70.81M----------65.84M--65.84M------------
Payables ----65.50%2.88M65.50%2.88M--------453.82%1.74M453.82%1.74M102.58%314K102.58%314K-29.19%114K
-Accounts payable ----65.50%2.88M65.50%2.88M--------453.82%1.74M453.82%1.74M102.58%314K102.58%314K-29.19%114K
Current debt and capital lease obligation --120.43M-4.95%10.14M-4.95%10.14M--99.48M--55.66M-93.62%10.66M-93.62%10.66M47.85%167.21M47.85%167.21M94.28%161.82M
-Current debt --120.43M-4.95%10.14M-4.95%10.14M--99.48M--55.66M-93.62%10.66M-93.62%10.66M47.85%167.21M47.85%167.21M94.28%161.82M
Long term debt and capital lease obligation ----3.60%110.85M3.60%110.85M--------2,040.00%107M2,040.00%107M-85.71%5M-85.71%5M-85.71%5M
-Long term debt ----3.60%110.85M3.60%110.85M--------2,040.00%107M2,040.00%107M-85.71%5M-85.71%5M-85.71%5M
Other liabilities --197.61M9.20%4.84M9.20%4.84M--199.4M--196.54M6.03%4.43M6.03%4.43M-3.28%4.18M-3.28%4.18M6.58%3.99M
Total liabilities --317.43M-0.99%322.43M-0.99%322.43M--325.02M--323.83M-0.11%325.66M-0.11%325.66M5.96%326.02M5.96%326.02M20.10%331.14M
Shareholders'equity
Share capital ----0.00%38K0.00%38K--------0.00%38K0.00%38K0.00%38K0.00%38K0.00%38K
-common stock ----0.00%38K0.00%38K--------0.00%38K0.00%38K0.00%38K0.00%38K0.00%38K
-Preferred stock ------0--0----------0--0--0--0--0
Paid-in capital -----0.01%21.63M-0.01%21.63M--------0.04%21.63M0.04%21.63M0.13%21.62M0.13%21.62M0.14%21.62M
Retained earnings ----1.36%49.44M1.36%49.44M--------2.18%48.77M2.18%48.77M1.16%47.73M1.16%47.73M1.06%47.6M
Less: Treasury stock ----1.76%31.72M1.76%31.72M--------4.55%31.17M4.55%31.17M2.39%29.82M2.39%29.82M1.24%29.19M
Gains losses not affecting retained earnings ----65.43%-187K65.43%-187K--------52.67%-541K52.67%-541K-327.69%-1.14M-327.69%-1.14M-254.41%-701K
Other equity interest ----7.21%-1.44M7.21%-1.44M--------7.45%-1.55M7.45%-1.55M7.50%-1.68M7.50%-1.68M7.56%-1.71M
Total stockholders'equity --38.08M1.55%37.75M1.55%37.75M--37.93M--37.62M1.14%37.18M1.14%37.18M-4.25%36.76M-4.25%36.76M-2.20%37.66M
Total equity --38.08M1.55%37.75M1.55%37.75M--37.93M--37.62M1.14%37.18M1.14%37.18M-4.25%36.76M-4.25%36.76M-2.20%37.66M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion------Unqualified Opinion--Unqualified Opinion----
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