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Markets
/
Stocks
/
nasdaq-finw
/
Finwise Bancorp
FINW
20.630
USD
+0.810
+4.09%
Close 09/18, 16:00(ET)
Quotes delayed by 15 min
0.000
USD
0.000
Pre-market 09/19, 09:30 (ET)
277.88M
Market Cap
21.40
P/E TTM
Finwise Bancorp
20.630
+0.810
+4.09%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q1
FY2020Q4
FY2020Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
1074.19%
71.88M
-1496.77%
-21.61M
-93.25%
657.00K
-213.68%
-9.82M
21.62%
-7.38M
-53.32%
1.55M
-60.92%
9.73M
1267.03%
8.64M
-122.47%
-9.41M
175.37%
3.31M
103.33%
24.89M
--
-740.00K
--
41.89M
50.53%
-4.40M
-46.87%
12.24M
-139.35%
-8.89M
--
23.04M
--
22.59M
Net income from continuing operations
28.84%
4.10M
-3.80%
3.19M
-32.81%
2.79M
-28.10%
3.45M
-31.44%
3.18M
-14.14%
3.31M
-36.49%
4.16M
31.47%
4.80M
-15.40%
4.64M
-59.07%
3.86M
-35.27%
6.54M
--
3.65M
--
5.48M
78.30%
9.43M
119.04%
10.11M
191.68%
5.29M
--
4.62M
--
1.81M
Operating gains losses
14.86%
1.42M
47.55%
1.30M
29.08%
1.09M
-20.74%
1.22M
83.95%
1.24M
129.50%
879.00K
-45.10%
846.00K
230.39%
1.53M
-58.38%
673.00K
79.81%
383.00K
75.91%
1.54M
--
464.00K
--
1.62M
-31.51%
213.00K
95.54%
876.00K
214.14%
311.00K
--
448.00K
--
99.00K
Deferred tax
-141.49%
-268.00K
-397.50%
-1.19M
-117.32%
-89.00K
-341.49%
-227.00K
-55.72%
646.00K
-57.89%
-240.00K
-48.45%
514.00K
164.38%
94.00K
734.35%
1.46M
-534.29%
-152.00K
541.15%
997.00K
--
-146.00K
--
-230.00K
116.06%
35.00K
40.84%
-226.00K
--
-218.00K
--
-382.00K
--
0.00
Other non-cash items
-2267.63%
-4.10M
-406.55%
-1.16M
-289.64%
-978.00K
-29.24%
-221.00K
73.95%
-173.00K
-23000.00%
-229.00K
95.66%
-251.00K
93.40%
-171.00K
77.83%
-664.00K
100.02%
1.00K
-166.53%
-5.78M
--
-2.59M
--
-3.00M
-78.80%
-6.25M
-231.15%
-2.17M
-184.61%
-3.50M
--
-655.00K
--
-1.23M
Change in working capital
529.03%
65.53M
-386.55%
-27.28M
-826.88%
-6.95M
-741.22%
-17.06M
18.40%
-15.28M
-41.82%
-5.61M
-94.83%
956.00K
72.26%
-2.03M
-154.37%
-18.72M
64.75%
-3.95M
1223.48%
18.49M
--
-7.31M
--
34.43M
6.79%
-11.21M
-92.58%
1.40M
-169.20%
-12.03M
--
18.83M
--
17.39M
-Change in other current assets
59.66%
-745.00K
34.87%
5.18M
45.21%
-2.84M
-5.06%
-913.00K
27.65%
-1.85M
841.18%
3.84M
-1090.14%
-5.19M
-286.48%
-869.00K
-377.20%
-2.55M
737.50%
408.00K
-129.14%
-436.00K
--
466.00K
--
-535.00K
-104.27%
-64.00K
150.51%
1.50M
36.12%
1.50M
--
-2.96M
--
1.10M
-Change in other current liabilities
392.25%
4.60M
-204.59%
-5.37M
-54.60%
3.72M
-36.11%
1.56M
-304.02%
-1.57M
23.28%
-1.76M
1049.94%
8.20M
-44.27%
2.44M
110.65%
772.00K
-220.88%
-2.30M
57.96%
-863.00K
--
4.37M
--
-7.25M
-43.56%
1.90M
10.66%
-2.05M
85.56%
3.37M
--
-2.30M
--
1.81M
Cash from non-recurring investing activities
Cash from operating activities
1074.19%
71.88M
-1496.77%
-21.61M
-93.25%
657.00K
-213.68%
-9.82M
21.62%
-7.38M
-53.32%
1.55M
-60.92%
9.73M
1267.03%
8.64M
-122.47%
-9.41M
175.37%
3.31M
103.33%
24.89M
--
-740.00K
--
41.89M
50.53%
-4.40M
-46.87%
12.24M
-139.35%
-8.89M
--
23.04M
--
22.59M
Investing cash flow
Net cash from continuing investing activities
189.37%
4.11M
13.96%
1.35M
-94.24%
65.00K
28.77%
2.22M
-67.90%
1.42M
567.98%
1.19M
-65.21%
1.13M
-56.76%
1.72M
206.15%
4.43M
-86.70%
178.00K
266.25%
3.25M
--
3.99M
--
1.45M
353.56%
1.34M
720.37%
886.00K
268.75%
295.00K
--
108.00K
--
80.00K
Capital expenditures
333.71%
6.16M
38.10%
1.64M
-94.24%
65.00K
28.77%
2.22M
-67.90%
1.42M
567.98%
1.19M
-65.21%
1.13M
-56.76%
1.72M
206.15%
4.43M
-86.70%
178.00K
266.25%
3.25M
--
3.99M
--
1.45M
353.56%
1.34M
720.37%
886.00K
268.75%
295.00K
--
108.00K
--
80.00K
Net cash flow from disposal of fixed assets
189.37%
4.11M
13.96%
1.35M
-94.24%
65.00K
28.77%
2.22M
-67.90%
1.42M
567.98%
1.19M
-65.21%
1.13M
-56.76%
1.72M
206.15%
4.43M
-86.70%
178.00K
266.25%
3.25M
--
3.99M
--
1.45M
353.56%
1.34M
720.37%
886.00K
268.75%
295.00K
--
108.00K
--
80.00K
Net cash flow from investment products
-13.56%
765.00K
-1.93%
560.00K
56.76%
707.00K
-1946.16%
-29.34M
260.91%
885.00K
39.27%
571.00K
222.22%
451.00K
2.45%
-1.43M
62.99%
-550.00K
14.85%
410.00K
94.74%
-369.00K
--
-1.47M
--
-1.49M
970.73%
357.00K
-6254.39%
-7.02M
97.61%
-41.00K
--
114.00K
--
-1.71M
Net cash flow from other investing activities
-59.21%
-37.65M
-29.20%
-27.22M
8.01%
-34.16M
57.01%
-21.32M
-22.47%
-23.65M
45.25%
-21.07M
-64.27%
-37.13M
-354.44%
-49.58M
-4764.23%
-19.31M
-457.64%
-38.48M
-13.94%
-22.60M
--
-10.91M
--
-397.00K
-67.56%
10.76M
-354.37%
-19.84M
321.25%
33.16M
--
-4.37M
--
7.87M
Cash from non-current investing activities
Net cash flow from investing activities
-69.52%
-41.00M
-28.94%
-28.11M
10.80%
-33.52M
-0.24%
-52.88M
0.42%
-24.19M
43.02%
-21.80M
-43.31%
-37.57M
-218.56%
-52.75M
-629.59%
-24.29M
-491.24%
-38.26M
5.76%
-26.22M
--
-16.56M
--
-3.33M
-70.21%
9.78M
-538.07%
-27.82M
440.04%
32.83M
--
-4.36M
--
6.08M
Financing cash flow
Cash flow from continuous financing activities
-1376.37%
-61.05M
219.01%
60.83M
211.68%
56.25M
14.68%
59.45M
-89.85%
4.78M
-52.32%
19.07M
91.45%
18.05M
291.74%
51.84M
180.33%
47.13M
56.75%
39.99M
-71.63%
9.43M
--
13.23M
--
-58.68M
780.26%
25.51M
1057.49%
33.23M
589.53%
2.90M
--
-3.47M
--
-592.00K
Net cash flow from debt Issuance/repayment
100.00%
0.00
100.00%
0.00
-31.25%
-42.00K
32.26%
-21.00K
0.00%
-31.00K
-3.23%
-32.00K
-3.23%
-32.00K
0.00%
-31.00K
94.62%
-31.00K
68.37%
-31.00K
97.44%
-31.00K
--
-31.00K
--
-576.00K
99.54%
-98.00K
-107.25%
-1.21M
--
-21.30M
--
16.68M
--
0.00
Net cash flow from common stock issuance/repurchase
100.00%
0.00
100.00%
0.00
--
0.00
100.17%
4.00K
86.83%
-286.00K
16.67%
-180.00K
100.00%
0.00
-999.53%
-2.35M
--
-2.17M
--
-216.00K
-102.59%
-922.00K
--
-214.00K
--
--
--
--
--
35.58M
--
--
--
--
--
--
Proceeds from stock option exercised by employees
--
0.00
25.00%
20.00K
--
1.00K
100.00%
8.00K
--
0.00
-60.00%
16.00K
-100.00%
0.00
--
4.00K
--
0.00
0.00%
40.00K
10900.00%
220.00K
--
0.00
--
0.00
-75.90%
40.00K
--
2.00K
102.44%
166.00K
--
0.00
--
82.00K
Net cash flow from other financing activities
-1297.04%
-61.05M
215.66%
60.81M
211.36%
56.29M
9.67%
59.46M
-89.66%
5.10M
-52.07%
19.26M
77.95%
18.08M
302.28%
54.22M
184.92%
49.34M
57.20%
40.19M
988.11%
10.16M
--
13.48M
--
-58.10M
6.38%
25.57M
94.32%
-1.14M
3666.02%
24.04M
--
-20.15M
--
-674.00K
Net cash from non-recurrent financing activities
Net cash from financing activities
-1376.37%
-61.05M
219.01%
60.83M
211.68%
56.25M
14.68%
59.45M
-89.85%
4.78M
-52.32%
19.07M
91.45%
18.05M
291.74%
51.84M
180.33%
47.13M
56.75%
39.99M
-71.63%
9.43M
--
13.23M
--
-58.68M
780.26%
25.51M
1057.49%
33.23M
589.53%
2.90M
--
-3.47M
--
-592.00K
Net cash flow
Beginning cash balance
3.87%
120.27M
-6.68%
109.16M
-32.34%
85.77M
-25.23%
89.01M
9.64%
115.79M
16.32%
116.97M
37.10%
126.77M
23.32%
119.04M
-9.46%
105.61M
17.27%
100.57M
35.76%
92.46M
--
96.53M
--
116.65M
80.98%
85.75M
111.71%
68.11M
36.24%
47.38M
--
32.17M
--
34.78M
Current period cash flow changes
-12.66%
-30.17M
1037.55%
11.11M
338.81%
23.39M
-141.94%
-3.24M
-299.35%
-26.78M
-123.50%
-1.19M
-220.88%
-9.80M
290.11%
7.73M
166.78%
13.43M
-83.68%
5.04M
-54.08%
8.10M
--
-4.07M
--
-20.12M
15.10%
30.89M
16.00%
17.65M
-4.40%
26.84M
--
15.21M
--
28.07M
Ending cash balance
1.23%
90.10M
3.87%
120.27M
-6.68%
109.16M
-32.34%
85.77M
-25.23%
89.01M
9.64%
115.79M
16.32%
116.97M
37.10%
126.77M
23.32%
119.04M
-9.46%
105.61M
17.27%
100.57M
--
92.46M
--
96.53M
57.16%
116.65M
80.98%
85.75M
18.09%
74.22M
--
47.38M
--
62.85M
Free cash flow
846.82%
65.71M
-6594.41%
-23.25M
-93.12%
592.00K
-274.15%
-12.04M
36.42%
-8.80M
-88.58%
358.00K
-60.28%
8.60M
246.22%
6.91M
-134.22%
-13.84M
154.68%
3.14M
90.62%
21.65M
--
-4.73M
--
40.44M
37.55%
-5.74M
-50.48%
11.36M
-140.80%
-9.18M
--
22.94M
--
22.51M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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