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Hanover Bancorp Inc (MINEOLA)

HNVR

21.270USD

+0.570+2.75%
Market hours ETQuotes delayed by 15 min
153.76MMarket Cap
16.17P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-107.90%-13.73M
-101.32%-1.88M
117.12%18.07M
-87.80%23.32M
4210.08%173.73M
-23.67%142.44M
-183.07%-105.52M
235.20%191.18M
-122.37%-4.23M
1474.48%186.61M
23.15%127.03M
75.41%57.03M
-19.24%18.90M
--11.85M
--103.15M
--32.52M
--23.40M
Net income from continuing operations
-59.58%1.52M
10.76%3.90M
14.38%3.54M
-73.70%844.00K
-29.51%3.76M
-39.53%3.52M
-41.98%3.09M
-45.24%3.21M
-18.34%5.34M
-17.43%5.83M
2313.12%5.33M
185.16%5.86M
330.35%6.54M
--7.06M
--221.00K
--2.06M
--1.52M
Operating gains losses
-3.26%950.00K
0.96%950.00K
43.05%1.25M
18.06%693.00K
-10.16%982.00K
114.35%941.00K
96.17%871.00K
32.51%587.00K
161.48%1.09M
-24.57%439.00K
128.87%444.00K
24.79%443.00K
21.16%418.00K
--582.00K
--194.00K
--355.00K
--345.00K
Deferred tax
----
62.30%594.00K
----
----
888.57%276.00K
446.27%366.00K
55.31%424.00K
-2.43%441.00K
-106.65%-35.00K
115.65%67.00K
-71.65%273.00K
365.88%452.00K
--526.00K
---428.00K
--963.00K
---170.00K
--0.00
Other non-cash items
21.77%-1.61M
-100.79%-2.55M
-112.34%-2.37M
-107.49%-2.08M
-225.63%-2.06M
25.69%-1.27M
-23.26%-1.12M
60.81%-1.00M
78.88%-632.00K
47.04%-1.71M
-25.28%-907.00K
-551.53%-2.55M
-1121.63%-2.99M
---3.23M
---724.00K
---392.00K
---245.00K
Change in working capital
-109.22%-15.69M
-104.01%-5.54M
113.71%15.04M
-89.57%19.43M
1526.74%170.21M
-23.04%138.15M
-191.17%-109.69M
258.27%186.22M
-189.76%-11.93M
2487.47%179.49M
17.65%120.32M
70.46%51.98M
-38.04%13.29M
--6.94M
--102.27M
--30.49M
--21.45M
-Change in other current assets
311.71%5.51M
-646.80%-3.73M
-212.88%-2.14M
-475.33%-3.50M
-25.98%-2.60M
51.03%-500.00K
-185.16%-683.00K
-154.14%-608.00K
-2146.74%-2.07M
-161.58%-1.02M
-77.62%802.00K
138.56%1.12M
-109.27%-92.00K
--1.66M
--3.58M
---2.91M
--992.00K
-Change in other current liabilities
-179.37%-2.88M
174.89%1.86M
-54.53%2.23M
24.36%-1.69M
728.02%3.63M
-241.93%-2.48M
70285.71%4.91M
24.03%-2.23M
-53.59%439.00K
580.22%1.75M
-123.33%-7.00K
-542.01%-2.93M
5.58%946.00K
---364.00K
--30.00K
---457.00K
--896.00K
Cash from non-recurring investing activities
Cash from operating activities
-107.90%-13.73M
-101.32%-1.88M
117.12%18.07M
-87.80%23.32M
4210.08%173.73M
-23.67%142.44M
-183.07%-105.52M
235.20%191.18M
-122.37%-4.23M
1474.48%186.61M
23.15%127.03M
75.41%57.03M
-19.24%18.90M
--11.85M
--103.15M
--32.52M
--23.40M
Investing cash flow
Net cash from continuing investing activities
-35.96%228.00K
-349.68%-789.00K
-67.46%329.00K
16.92%1.44M
-57.87%356.00K
65.45%316.00K
258.51%1.01M
243.06%1.23M
192.39%845.00K
-75.51%191.00K
-34.27%282.00K
1.12%360.00K
-43.77%289.00K
--780.00K
--429.00K
--356.00K
--514.00K
Capital expenditures
-35.96%228.00K
----
-67.46%329.00K
16.92%1.44M
-57.87%356.00K
65.45%316.00K
258.51%1.01M
243.06%1.23M
192.39%845.00K
-75.51%191.00K
-34.27%282.00K
1.12%360.00K
-43.77%289.00K
--780.00K
--429.00K
--356.00K
--514.00K
Net cash flow from disposal of fixed assets
-35.96%228.00K
-349.68%-789.00K
-67.46%329.00K
16.92%1.44M
-57.87%356.00K
65.45%316.00K
258.51%1.01M
243.06%1.23M
192.39%845.00K
-75.51%191.00K
-34.27%282.00K
1.12%360.00K
-43.77%289.00K
--780.00K
--429.00K
--356.00K
--514.00K
Net cash flow from business transactions
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--26.16M
----
----
Net cash flow from investment products
81.42%-9.01M
190.02%15.39M
127.89%2.13M
-270.75%-7.25M
-731.66%-48.49M
163.84%5.31M
-263.21%-7.64M
53.06%4.25M
-257.27%-5.83M
-1279.29%-8.31M
-269.54%-2.10M
1400.54%2.78M
185450.00%3.71M
--705.00K
--1.24M
--185.00K
---2.00K
Net cash flow from other investing activities
125.17%22.28M
150.91%26.27M
111.83%4.12M
76.70%-9.31M
27.85%-88.51M
74.98%-51.60M
72.38%-34.79M
-331.18%-39.96M
-344.09%-122.69M
-490.81%-206.23M
-353.94%-125.96M
73.64%-9.27M
-670.60%-27.63M
--52.77M
--49.60M
---35.15M
---3.58M
Cash from non-current investing activities
Net cash flow from investing activities
109.50%13.04M
191.09%42.45M
113.62%5.92M
51.25%-18.01M
-6.18%-137.36M
78.30%-46.61M
66.15%-43.45M
-439.23%-36.95M
-434.37%-129.36M
-507.50%-214.74M
-267.60%-128.35M
80.60%-6.85M
-490.30%-24.21M
--52.70M
--76.58M
---35.33M
---4.10M
Financing cash flow
Cash flow from continuous financing activities
96.26%-1.94M
83.49%-18.94M
-115.29%-23.87M
99.34%-678.00K
-138.10%-51.79M
-360.17%-114.75M
1815.43%156.15M
-168.92%-102.17M
393.72%135.94M
163.98%44.10M
109.44%8.15M
-110.49%-37.99M
-4035.92%-46.28M
---68.94M
---86.33M
---18.05M
---1.12M
Net cash flow from debt Issuance/repayment
----
84.21%-18.00M
-114.75%-23.15M
100.00%0.00
-137.27%-50.90M
-354.27%-114.00M
933.84%156.89M
-170.80%-101.30M
394.81%136.57M
165.04%44.83M
78.20%-18.82M
-106.70%-37.41M
-3809.11%-46.32M
---68.94M
---86.33M
---18.10M
---1.19M
Net cash flow from common stock issuance/repurchase
----
----
----
----
----
----
----
----
----
--0.00
--27.73M
-100.00%0.00
-36.36%42.00K
--0.00
--0.00
--47.00K
--66.00K
Cash dividend payments
2.46%749.00K
1.23%742.00K
1.09%741.00K
0.82%740.00K
0.27%731.00K
0.41%733.00K
-0.14%733.00K
24.83%734.00K
--729.00K
--730.00K
--734.00K
--588.00K
----
----
----
----
----
Proceeds from stock option exercised by employees
-378.57%-468.00K
---171.00K
--33.00K
--70.00K
58.49%168.00K
--0.00
--0.00
--0.00
--106.00K
----
----
----
----
--0.00
--0.00
--0.00
----
Net cash flow from other financing activities
-115.22%-721.00K
-158.33%-31.00K
-75.00%-14.00K
94.48%-8.00K
-6600.00%-335.00K
---12.00K
71.43%-8.00K
---145.00K
---5.00K
--0.00
---28.00K
----
----
----
----
----
----
Net cash from non-recurrent financing activities
Net cash from financing activities
96.26%-1.94M
83.49%-18.94M
-115.29%-23.87M
99.34%-678.00K
-138.10%-51.79M
-360.17%-114.75M
1815.43%156.15M
-168.92%-102.17M
393.72%135.94M
163.98%44.10M
109.44%8.15M
-110.49%-37.99M
-4035.92%-46.28M
---68.94M
---86.33M
---18.05M
---1.12M
Net cash flow
Beginning cash balance
-15.45%162.86M
-33.23%141.23M
-30.95%141.12M
-10.39%136.48M
28.46%192.62M
57.89%211.53M
60.73%204.35M
32.49%152.30M
-9.97%149.95M
-21.62%133.97M
63.99%127.14M
16.83%114.95M
107.64%166.54M
--170.93M
--77.53M
--98.39M
--80.21M
Current period cash flow changes
82.99%-2.62M
214.37%21.63M
-98.38%116.00K
-91.10%4.63M
-755.76%-15.42M
-218.38%-18.91M
5.03%7.18M
327.08%52.06M
104.56%2.35M
463.85%15.97M
-92.68%6.83M
158.44%12.19M
-383.81%-51.59M
---4.39M
--93.41M
---20.86M
--18.18M
Ending cash balance
-9.58%160.23M
-15.45%162.86M
-33.23%141.23M
-30.95%141.12M
16.36%177.21M
28.46%192.62M
57.89%211.53M
60.73%204.35M
32.49%152.30M
-9.97%149.95M
-21.62%133.97M
63.99%127.14M
16.83%114.95M
--166.54M
--170.93M
--77.53M
--98.39M
Free cash flow
-108.05%-13.96M
-101.33%-1.88M
116.65%17.74M
-88.48%21.88M
3518.32%173.38M
-23.76%142.13M
-184.05%-106.53M
235.15%189.94M
-127.26%-5.07M
1583.67%186.42M
23.39%126.75M
76.23%56.67M
-18.69%18.61M
--11.07M
--102.72M
--32.16M
--22.89M
Currency unit
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