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EFSI EAGLE FINANCIAL SERVICES INC

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  • 28.390
  • 0.0000.00%
15min DelayClose Apr 26 16:00 ET
100.99MMarket Cap10.67P/E (TTM)

EAGLE FINANCIAL SERVICES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-50.23%6.88M
-169.08%-6.01M
610.80%15.08M
-185.42%-2.4M
20.90%214K
-16.07%13.81M
30.64%8.7M
-50.57%2.12M
73.11%2.81M
-95.44%177K
Net income from continuing operations
-35.56%9.36M
-25.09%2.4M
-43.19%2.32M
-48.45%2.06M
-20.46%2.59M
31.76%14.52M
40.04%3.2M
42.08%4.08M
32.93%3.99M
13.56%3.25M
Operating gains losses
-66.55%-1.88M
-50.77%-487K
-556.52%-735K
59.14%-199K
4.60%-456K
33.00%-1.13M
60.27%-323K
133.13%161K
-58.63%-487K
-528.95%-478K
Depreciation and amortization
2.35%1M
4.90%257K
4.12%253K
1.64%248K
-1.21%244K
-1.71%979K
-0.41%245K
-2.02%243K
-2.40%244K
-1.98%247K
Deferred tax
-1,654.65%-1.51M
----
----
----
----
94.02%-86K
----
----
----
----
Other non cashItems
-103.00%-47K
1,046.55%2.66M
-55.76%269K
-751.68%-3.49M
172.11%517K
1,377.36%1.57M
-66.47%232K
155.46%608K
164.81%536K
6,233.33%190K
Change in working capital
40.38%-3.25M
-343.60%-10.07M
461.81%12.41M
16.63%-1.84M
5.11%-3.75M
-240.30%-5.45M
-15.73%4.14M
-729.36%-3.43M
-71.95%-2.2M
-1,267.47%-3.95M
-Change in other current assets
3.35%-4.58M
-85.06%889K
105.21%312K
41.58%-2.77M
-10,503.45%-3.02M
-79,133.33%-4.74M
373.27%5.95M
-1,341.49%-5.98M
-211.58%-4.74M
113.62%29K
-Change in other current liabilities
289.09%1.34M
-504.30%-10.96M
373.69%12.1M
-63.23%932K
81.59%-733K
-118.21%-706K
-149.70%-1.81M
3,953.97%2.55M
956.25%2.54M
-5,138.16%-3.98M
Cash from discontinued operating activities
Operating cash flow
-50.23%6.88M
-169.08%-6.01M
610.80%15.08M
-185.42%-2.4M
20.90%214K
-16.07%13.81M
30.64%8.7M
-50.57%2.12M
73.11%2.81M
-95.44%177K
Investing cash flow
Cash flow from continuing investing activities
60.68%-130.28M
79.48%-24.56M
151.08%33.93M
31.69%-64.55M
-47.97%-75.1M
-71.48%-331.34M
-110.77%-119.66M
6.00%-66.42M
-527.42%-94.5M
-0.08%-50.76M
Net investment purchase and sale
323.09%68.46M
614.31%57.47M
-77.96%3.64M
-45.89%3.4M
126.89%3.95M
149.14%16.18M
10.25%8.05M
165.42%16.52M
304.36%6.28M
-23.38%-14.67M
Net proceeds payment for loan
43.17%-191.57M
81.92%-22.14M
71.75%-22.58M
29.31%-70.04M
-115.75%-76.81M
-127.10%-337.07M
-97.42%-122.46M
-75.27%-79.94M
-4,501.39%-99.07M
7.84%-35.6M
Net PPE purchase and sale
-28.20%-1.03M
116.23%56K
-1,059.62%-603K
-520.78%-478K
97.89%-7K
-54.81%-805K
-548.05%-345K
73.06%-52K
-40.00%-77K
5.16%-331K
Net other investing changes
36.32%-6.14M
-30.81%-6.41M
97.74%-67K
256.88%2.57M
-1,386.00%-2.23M
15.01%-9.65M
-131.40%-4.9M
-852.93%-2.96M
83.28%-1.64M
-196.77%-150K
Cash from discontinued investing activities
Investing cash flow
60.68%-130.28M
79.48%-24.56M
151.08%33.93M
31.69%-64.55M
-47.97%-75.1M
-71.48%-331.34M
-110.77%-119.66M
6.00%-66.42M
-527.42%-94.5M
-0.08%-50.76M
Financing cash flow
Cash flow from continuing financing activities
-39.17%194.87M
-81.05%26.89M
-79.24%14.14M
-38.62%17.13M
65.87%136.71M
99.09%320.35M
210.05%141.92M
124.61%68.1M
-9.23%27.91M
52.45%82.42M
Change in federal funds and securities sold for repurchase
-200.00%-32.98M
--0
--0
--0
---32.98M
--32.98M
--32.98M
---28.58M
--28.58M
--0
Increase decrease in deposit
178.96%242.25M
-20.27%7.94M
78.63%40.37M
35,719.47%68.06M
132.72%125.88M
-47.09%86.84M
-78.61%9.96M
-27.72%22.6M
-99.40%190K
-1.46%54.09M
Net issuance payments of debt
-104.89%-10M
-80.00%20M
-133.33%-25M
-4,999,900.00%-50M
53.44%45M
--204.33M
--100M
--75M
---1K
--29.33M
Net commonstock issuance
-1,800.00%-170K
--0
-1,066.67%-175K
10.83%133K
-9.40%-128K
-66.67%10K
-51.11%22K
62.50%-15K
11.11%120K
-40.96%-117K
Cash dividends paid
-11.06%-4.23M
-0.96%-1.06M
-16.03%-1.06M
-8.73%-1.06M
-20.52%-1.06M
-16.77%-3.81M
-24.08%-1.05M
-0.44%-911K
-26.82%-974K
-18.03%-877K
Cash from discontinued financing activities
Financing cash flow
-39.17%194.87M
-81.05%26.89M
-79.24%14.14M
-38.62%17.13M
65.87%136.71M
99.09%320.35M
210.05%141.92M
124.61%68.1M
-9.23%27.91M
52.45%82.42M
Net cash flow
Beginning cash position
4.41%66.89M
295.26%142.04M
145.50%78.9M
34.20%128.72M
4.41%66.89M
-19.83%64.07M
-47.47%35.94M
-69.24%32.14M
10.05%95.91M
-19.83%64.07M
Current changes in cash
2,428.63%71.46M
-111.90%-3.69M
1,562.53%63.14M
21.88%-49.82M
94.15%61.82M
117.83%2.83M
813.34%30.96M
110.53%3.8M
-468.35%-63.77M
340.41%31.84M
End cash position
106.82%138.35M
106.82%138.35M
295.26%142.04M
145.50%78.9M
34.20%128.72M
4.41%66.89M
4.41%66.89M
-47.47%35.94M
-69.24%32.14M
10.05%95.91M
Free cash flow
-55.27%5.8M
-171.26%-5.96M
610.46%14.47M
-206.43%-2.91M
234.42%207K
-18.59%12.98M
24.02%8.36M
-50.32%2.04M
74.27%2.74M
-104.36%-154K
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -50.23%6.88M-169.08%-6.01M610.80%15.08M-185.42%-2.4M20.90%214K-16.07%13.81M30.64%8.7M-50.57%2.12M73.11%2.81M-95.44%177K
Net income from continuing operations -35.56%9.36M-25.09%2.4M-43.19%2.32M-48.45%2.06M-20.46%2.59M31.76%14.52M40.04%3.2M42.08%4.08M32.93%3.99M13.56%3.25M
Operating gains losses -66.55%-1.88M-50.77%-487K-556.52%-735K59.14%-199K4.60%-456K33.00%-1.13M60.27%-323K133.13%161K-58.63%-487K-528.95%-478K
Depreciation and amortization 2.35%1M4.90%257K4.12%253K1.64%248K-1.21%244K-1.71%979K-0.41%245K-2.02%243K-2.40%244K-1.98%247K
Deferred tax -1,654.65%-1.51M----------------94.02%-86K----------------
Other non cashItems -103.00%-47K1,046.55%2.66M-55.76%269K-751.68%-3.49M172.11%517K1,377.36%1.57M-66.47%232K155.46%608K164.81%536K6,233.33%190K
Change in working capital 40.38%-3.25M-343.60%-10.07M461.81%12.41M16.63%-1.84M5.11%-3.75M-240.30%-5.45M-15.73%4.14M-729.36%-3.43M-71.95%-2.2M-1,267.47%-3.95M
-Change in other current assets 3.35%-4.58M-85.06%889K105.21%312K41.58%-2.77M-10,503.45%-3.02M-79,133.33%-4.74M373.27%5.95M-1,341.49%-5.98M-211.58%-4.74M113.62%29K
-Change in other current liabilities 289.09%1.34M-504.30%-10.96M373.69%12.1M-63.23%932K81.59%-733K-118.21%-706K-149.70%-1.81M3,953.97%2.55M956.25%2.54M-5,138.16%-3.98M
Cash from discontinued operating activities
Operating cash flow -50.23%6.88M-169.08%-6.01M610.80%15.08M-185.42%-2.4M20.90%214K-16.07%13.81M30.64%8.7M-50.57%2.12M73.11%2.81M-95.44%177K
Investing cash flow
Cash flow from continuing investing activities 60.68%-130.28M79.48%-24.56M151.08%33.93M31.69%-64.55M-47.97%-75.1M-71.48%-331.34M-110.77%-119.66M6.00%-66.42M-527.42%-94.5M-0.08%-50.76M
Net investment purchase and sale 323.09%68.46M614.31%57.47M-77.96%3.64M-45.89%3.4M126.89%3.95M149.14%16.18M10.25%8.05M165.42%16.52M304.36%6.28M-23.38%-14.67M
Net proceeds payment for loan 43.17%-191.57M81.92%-22.14M71.75%-22.58M29.31%-70.04M-115.75%-76.81M-127.10%-337.07M-97.42%-122.46M-75.27%-79.94M-4,501.39%-99.07M7.84%-35.6M
Net PPE purchase and sale -28.20%-1.03M116.23%56K-1,059.62%-603K-520.78%-478K97.89%-7K-54.81%-805K-548.05%-345K73.06%-52K-40.00%-77K5.16%-331K
Net other investing changes 36.32%-6.14M-30.81%-6.41M97.74%-67K256.88%2.57M-1,386.00%-2.23M15.01%-9.65M-131.40%-4.9M-852.93%-2.96M83.28%-1.64M-196.77%-150K
Cash from discontinued investing activities
Investing cash flow 60.68%-130.28M79.48%-24.56M151.08%33.93M31.69%-64.55M-47.97%-75.1M-71.48%-331.34M-110.77%-119.66M6.00%-66.42M-527.42%-94.5M-0.08%-50.76M
Financing cash flow
Cash flow from continuing financing activities -39.17%194.87M-81.05%26.89M-79.24%14.14M-38.62%17.13M65.87%136.71M99.09%320.35M210.05%141.92M124.61%68.1M-9.23%27.91M52.45%82.42M
Change in federal funds and securities sold for repurchase -200.00%-32.98M--0--0--0---32.98M--32.98M--32.98M---28.58M--28.58M--0
Increase decrease in deposit 178.96%242.25M-20.27%7.94M78.63%40.37M35,719.47%68.06M132.72%125.88M-47.09%86.84M-78.61%9.96M-27.72%22.6M-99.40%190K-1.46%54.09M
Net issuance payments of debt -104.89%-10M-80.00%20M-133.33%-25M-4,999,900.00%-50M53.44%45M--204.33M--100M--75M---1K--29.33M
Net commonstock issuance -1,800.00%-170K--0-1,066.67%-175K10.83%133K-9.40%-128K-66.67%10K-51.11%22K62.50%-15K11.11%120K-40.96%-117K
Cash dividends paid -11.06%-4.23M-0.96%-1.06M-16.03%-1.06M-8.73%-1.06M-20.52%-1.06M-16.77%-3.81M-24.08%-1.05M-0.44%-911K-26.82%-974K-18.03%-877K
Cash from discontinued financing activities
Financing cash flow -39.17%194.87M-81.05%26.89M-79.24%14.14M-38.62%17.13M65.87%136.71M99.09%320.35M210.05%141.92M124.61%68.1M-9.23%27.91M52.45%82.42M
Net cash flow
Beginning cash position 4.41%66.89M295.26%142.04M145.50%78.9M34.20%128.72M4.41%66.89M-19.83%64.07M-47.47%35.94M-69.24%32.14M10.05%95.91M-19.83%64.07M
Current changes in cash 2,428.63%71.46M-111.90%-3.69M1,562.53%63.14M21.88%-49.82M94.15%61.82M117.83%2.83M813.34%30.96M110.53%3.8M-468.35%-63.77M340.41%31.84M
End cash position 106.82%138.35M106.82%138.35M295.26%142.04M145.50%78.9M34.20%128.72M4.41%66.89M4.41%66.89M-47.47%35.94M-69.24%32.14M10.05%95.91M
Free cash flow -55.27%5.8M-171.26%-5.96M610.46%14.47M-206.43%-2.91M234.42%207K-18.59%12.98M24.02%8.36M-50.32%2.04M74.27%2.74M-104.36%-154K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

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