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Markets
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nasdaq-banx
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ArrowMark Financial Corp
BANX
20.546
USD
+0.036
+0.17%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
146.30M
Market Cap
61.66
P/E TTM
ArrowMark Financial Corp
20.546
+0.036
+0.17%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
55.56%
16.05M
-114.76%
-2.27M
1027.10%
10.32M
-9.32%
15.37M
92.52%
-1.11M
441.57%
16.95M
-40.92%
-14.89M
-88.44%
-4.96M
-222.40%
-10.56M
-108.08%
-2.63M
1947.48%
8.63M
367.02%
32.57M
-101.82%
-467.14K
-177.23%
-12.20M
1828.29%
25.68M
154.50%
15.79M
--
1.33M
--
-28.98M
Net income from continuing operations
-16.72%
9.29M
-18.02%
7.46M
113.58%
11.15M
6136.28%
9.10M
-1.06%
5.22M
-98.02%
145.90K
-59.48%
5.28M
240.44%
7.36M
149.96%
13.02M
-170.83%
-5.24M
144.25%
5.21M
-6.38%
7.40M
-61.52%
2.13M
21.77%
7.90M
12.40%
5.54M
211.34%
6.49M
--
4.93M
--
2.08M
Other non-cash items
36.21%
-101.65K
28.98%
-136.76K
30.25%
-159.35K
29.61%
-192.57K
46.63%
-228.46K
-0.38%
-273.56K
80.73%
-428.05K
-117.90%
-272.53K
-840.76%
-2.22M
808.42%
1.52M
-339.64%
-236.14K
-2080.50%
-214.86K
-2199.77%
-53.71K
1538.82%
10.85K
463.44%
2.56K
549.02%
662.00
--
454.00
--
102.00
Change in working capital
523.79%
5.96M
-266.19%
-14.52M
112.75%
955.60K
50.88%
8.74M
67.07%
-7.49M
150.97%
5.79M
-89.69%
-22.76M
-27.39%
-11.36M
-423.96%
-12.00M
-132.54%
-8.92M
169.15%
3.70M
256.38%
27.41M
-126.23%
-5.36M
-263.77%
-17.53M
664.11%
20.42M
131.29%
10.70M
--
-3.62M
--
-34.21M
-Change in receivables
125.06%
503.67K
603.84%
1.52M
-467.06%
-2.01M
24.53%
-301.61K
-970.38%
-354.50K
-109.01%
-399.63K
100.88%
40.73K
908.48%
4.44M
-1149.34%
-4.64M
-166.14%
-548.66K
286.96%
441.98K
315.70%
829.53K
-126.28%
-236.41K
-169.20%
-384.58K
258.63%
899.45K
146.60%
555.72K
--
250.80K
--
-1.19M
-Change in prepaid expenses
41.00%
188.42K
-25.01%
244.71K
-53.79%
133.64K
140.40%
326.34K
313.46%
289.20K
-339.10%
-807.82K
361.13%
69.94K
-678.26%
-183.97K
-179.68%
-26.79K
-81.89%
31.82K
-46.95%
33.62K
8.23%
175.70K
-27.74%
63.36K
147.79%
162.33K
328.97%
87.69K
--
-339.65K
--
20.44K
--
--
-Change in other current liabilities
--
--
--
--
--
--
--
--
--
--
--
--
--
-51.71M
--
51.71M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Cash from non-recurring investing activities
Cash from operating activities
55.56%
16.05M
-114.76%
-2.27M
1027.10%
10.32M
-9.32%
15.37M
92.52%
-1.11M
441.57%
16.95M
-40.92%
-14.89M
-88.44%
-4.96M
-222.40%
-10.56M
-108.08%
-2.63M
1947.48%
8.63M
367.02%
32.57M
-101.82%
-467.14K
-177.23%
-12.20M
1828.29%
25.68M
154.50%
15.79M
--
1.33M
--
-28.98M
Investing cash flow
Cash from non-current investing activities
Financing cash flow
Cash flow from continuous financing activities
-51.46%
-15.17M
123.05%
3.60M
-836.98%
-10.01M
7.45%
-15.63M
-90.80%
1.36M
-686.32%
-16.88M
96.10%
14.77M
-63.58%
2.88M
186.05%
7.53M
122.43%
7.91M
-386.78%
-8.75M
-383.91%
-35.24M
111.66%
3.05M
165.20%
12.41M
-1546.31%
-26.18M
-165.66%
-19.04M
--
-1.59M
--
29.00M
Net cash flow from debt Issuance/repayment
-207.69%
-12.00M
305.97%
13.80M
-195.12%
-3.90M
21.18%
-6.70M
-36.92%
4.10M
-180.95%
-8.50M
-35.00%
6.50M
-31.37%
10.50M
258.73%
10.00M
156.67%
15.30M
-214.55%
-6.30M
-236.71%
-27.00M
123.16%
5.50M
264.58%
19.75M
-3266.67%
-23.75M
-133.57%
-12.00M
--
750.00K
--
35.75M
Net cash flow from common stock issuance/repurchase
--
--
--
--
--
--
--
--
-100.00%
0.00
--
458.26K
--
10.91M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Cash dividend payments
-48.22%
3.17M
14.24%
10.20M
122.98%
6.11M
0.96%
8.93M
4.04%
2.74M
16.04%
8.84M
6.83%
2.63M
3.07%
7.62M
0.50%
2.47M
-10.33%
7.39M
0.28%
2.45M
12.39%
8.24M
0.89%
2.45M
4.22%
7.34M
3.67%
2.43M
4.25%
7.04M
--
2.34M
--
6.75M
Net cash from non-recurrent financing activities
Net cash from financing activities
-51.46%
-15.17M
123.05%
3.60M
-836.98%
-10.01M
7.45%
-15.63M
-90.80%
1.36M
-686.32%
-16.88M
96.10%
14.77M
-63.58%
2.88M
186.05%
7.53M
122.43%
7.91M
-386.78%
-8.75M
-383.91%
-35.24M
111.66%
3.05M
165.20%
12.41M
-1546.31%
-26.18M
-165.66%
-19.04M
--
-1.59M
--
29.00M
Net cash flow
Beginning cash balance
1184.55%
1.78M
12.14%
443.41K
-7.63%
138.30K
371.98%
395.42K
-23.61%
149.73K
-96.32%
83.78K
-96.31%
196.02K
6350.44%
2.28M
3233.54%
5.31M
-98.75%
35.33K
-35.22%
159.25K
9293.32%
2.83M
-52.83%
245.84K
-99.20%
30.14K
-87.05%
521.18K
-6.08%
3.77M
--
4.02M
--
4.01M
Current period cash flow changes
189.94%
884.64K
618.49%
1.33M
24.19%
305.11K
-489.87%
-257.12K
318.90%
245.69K
103.17%
65.95K
96.30%
-112.24K
-139.50%
-2.08M
-2344.96%
-3.03M
297.35%
5.27M
-104.79%
-123.92K
-1338.80%
-2.67M
626.53%
2.59M
106.65%
215.70K
-90.35%
-491.04K
-22787.27%
-3.24M
--
-257.97K
--
14.30K
Ending cash balance
500.16%
2.66M
1184.55%
1.78M
12.14%
443.41K
-7.63%
138.30K
371.98%
395.42K
-23.61%
149.73K
-96.32%
83.78K
-96.31%
196.02K
6350.44%
2.28M
3233.54%
5.31M
-98.75%
35.33K
-35.22%
159.25K
9293.32%
2.83M
-52.83%
245.84K
-99.20%
30.14K
-87.05%
521.18K
--
3.77M
--
4.02M
Currency unit
USD
USD
USD
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USD
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USD
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USD
USD
USD
USD
USD
USD
USD
USD
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