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ORC Orchid Island Capital Inc

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  • 8.140
  • -0.020-0.25%
Close Apr 18 16:00 ET
  • 8.170
  • +0.030+0.37%
Post 19:55 ET
431.21MMarket Cap-9146P/E (TTM)

Orchid Island Capital 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
-97.23%8M
-3,069.41%-40.82M
-66.52%35.49M
-77.35%15.97M
-102.30%-2.63M
200.05%289.37M
-103.65%-1.29M
370.35%105.99M
407.69%70.49M
361.06%114.17M
Net income from continuing operations
84.82%-39.23M
-22.33%27.13M
5.18%-80.13M
117.04%10.25M
102.37%3.53M
-299.09%-258.45M
178.37%34.93M
-424.58%-84.51M
-256.59%-60.14M
-406.41%-148.73M
Operating gains losses
129.77%33.26M
750.87%144.36M
-186.22%-95.86M
-32.55%-58.81M
185.69%43.56M
-274.82%-111.73M
258.62%16.97M
-186.88%-33.49M
23.22%-44.37M
-200.97%-50.84M
Change in working capital
-126.57%-4.29M
-72.02%-5.58M
-76.10%2.78M
-226.45%-5.26M
4.24%3.76M
296.59%16.16M
-355.98%-3.24M
457.67%11.63M
153.46%4.16M
2.47%3.61M
-Change in receivables
-146.76%-3.43M
338.41%2.37M
-160.21%-2.05M
-333.01%-2.15M
-139.97%-1.6M
180.32%7.34M
73.11%-992K
229.81%3.41M
151.86%921K
481.52%4.01M
-Change in payables and accrued expense
-116.35%-1.39M
-268.06%-8.14M
984.80%4.57M
-215.60%-3.46M
2,311.11%5.64M
13,818.03%8.49M
2,888.27%4.84M
384.46%421K
1,374.88%2.99M
250.00%234K
-Change in other current assets
94.53%-7K
-55.11%101K
0.43%231K
-52.00%120K
44.90%-459K
-165.31%-128K
84.43%225K
-6.50%230K
-39.90%250K
-41.67%-833K
-Change in other current liabilities
17.62%534K
101.27%93K
-99.59%31K
3,900.00%228K
-10.78%182K
-31.52%454K
-371.57%-7.32M
1,142.98%7.57M
99.91%-6K
-96.16%204K
Cash from discontinued operating activities
Operating cash flow
-97.23%8M
-3,069.41%-40.82M
-66.52%35.49M
-77.35%15.97M
-102.30%-2.63M
200.05%289.37M
-103.65%-1.29M
370.35%105.99M
407.69%70.49M
361.06%114.17M
Investing cash flow
Cash flow from continuing investing activities
-118.07%-441.06M
344.52%710.65M
-153.60%-289.8M
-179.93%-413.03M
-126.81%-448.89M
180.91%2.44B
75.24%-290.63M
169.39%540.64M
228.67%516.76M
352.74%1.67B
Net investment purchase and sale
-118.07%-441.06M
344.52%710.65M
-153.60%-289.8M
-179.93%-413.03M
-126.81%-448.89M
180.91%2.44B
75.24%-290.63M
169.39%540.64M
228.67%516.76M
352.74%1.67B
Cash from discontinued investing activities
Investing cash flow
-118.07%-441.06M
344.52%710.65M
-153.60%-289.8M
-179.93%-413.03M
-126.81%-448.89M
180.91%2.44B
75.24%-290.63M
169.39%540.64M
228.67%516.76M
352.74%1.67B
Financing cash flow
Cash flow from continuing financing activities
113.46%396.13M
-401.29%-747.76M
143.63%283.19M
162.96%460.44M
122.10%400.26M
-195.84%-2.94B
-77.71%248.19M
-176.17%-649.06M
-266.64%-731.33M
-371.68%-1.81B
Change in federal funds and securities sold for repurchase
111.42%327.2M
-394.91%-721.3M
136.03%225.23M
161.31%432.28M
121.97%390.99M
-208.20%-2.87B
-76.26%244.58M
-189.41%-625.12M
-311.74%-705.13M
-403.71%-1.78B
Net commonstock issuance
851.08%149.68M
-126.59%-5.47M
3,466.14%80.42M
2,212.57%47.05M
13,037.85%27.69M
-96.94%15.74M
-82.18%20.57M
-101.35%-2.39M
-101.79%-2.23M
-100.22%-214K
Cash dividends paid
13.63%-80.75M
-23.72%-20.99M
-4.21%-22.46M
21.21%-18.89M
40.59%-18.42M
-2.76%-93.49M
46.92%-16.97M
10.56%-21.55M
-26.84%-23.97M
-93.45%-31.01M
Cash from discontinued financing activities
Financing cash flow
113.46%396.13M
-401.29%-747.76M
143.63%283.19M
162.96%460.44M
122.10%400.26M
-195.84%-2.94B
-77.71%248.19M
-176.17%-649.06M
-266.64%-731.33M
-371.68%-1.81B
Net cash flow
Beginning cash position
-47.34%237.22M
-0.97%278.22M
-12.01%249.34M
-56.50%185.96M
-47.34%237.22M
50.39%450.44M
-40.88%280.95M
-25.37%283.37M
30.08%427.45M
50.39%450.44M
Current changes in cash
82.68%-36.93M
-78.19%-77.93M
1,293.88%28.88M
143.99%63.38M
-122.90%-51.26M
-241.27%-213.22M
-76.33%-43.73M
-102.53%-2.42M
-381.80%-144.07M
-179.07%-23M
End cash position
-15.57%200.29M
-15.57%200.29M
-0.97%278.22M
-12.01%249.34M
-56.50%185.96M
-47.34%237.22M
-47.34%237.22M
-40.88%280.95M
-25.37%283.37M
30.08%427.45M
Free cash flow
-97.23%8M
-3,069.41%-40.82M
-66.52%35.49M
-77.35%15.97M
-102.30%-2.63M
200.05%289.37M
-103.65%-1.29M
370.35%105.99M
407.69%70.49M
361.06%114.17M
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
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(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 -97.23%8M-3,069.41%-40.82M-66.52%35.49M-77.35%15.97M-102.30%-2.63M200.05%289.37M-103.65%-1.29M370.35%105.99M407.69%70.49M361.06%114.17M
Net income from continuing operations 84.82%-39.23M-22.33%27.13M5.18%-80.13M117.04%10.25M102.37%3.53M-299.09%-258.45M178.37%34.93M-424.58%-84.51M-256.59%-60.14M-406.41%-148.73M
Operating gains losses 129.77%33.26M750.87%144.36M-186.22%-95.86M-32.55%-58.81M185.69%43.56M-274.82%-111.73M258.62%16.97M-186.88%-33.49M23.22%-44.37M-200.97%-50.84M
Change in working capital -126.57%-4.29M-72.02%-5.58M-76.10%2.78M-226.45%-5.26M4.24%3.76M296.59%16.16M-355.98%-3.24M457.67%11.63M153.46%4.16M2.47%3.61M
-Change in receivables -146.76%-3.43M338.41%2.37M-160.21%-2.05M-333.01%-2.15M-139.97%-1.6M180.32%7.34M73.11%-992K229.81%3.41M151.86%921K481.52%4.01M
-Change in payables and accrued expense -116.35%-1.39M-268.06%-8.14M984.80%4.57M-215.60%-3.46M2,311.11%5.64M13,818.03%8.49M2,888.27%4.84M384.46%421K1,374.88%2.99M250.00%234K
-Change in other current assets 94.53%-7K-55.11%101K0.43%231K-52.00%120K44.90%-459K-165.31%-128K84.43%225K-6.50%230K-39.90%250K-41.67%-833K
-Change in other current liabilities 17.62%534K101.27%93K-99.59%31K3,900.00%228K-10.78%182K-31.52%454K-371.57%-7.32M1,142.98%7.57M99.91%-6K-96.16%204K
Cash from discontinued operating activities
Operating cash flow -97.23%8M-3,069.41%-40.82M-66.52%35.49M-77.35%15.97M-102.30%-2.63M200.05%289.37M-103.65%-1.29M370.35%105.99M407.69%70.49M361.06%114.17M
Investing cash flow
Cash flow from continuing investing activities -118.07%-441.06M344.52%710.65M-153.60%-289.8M-179.93%-413.03M-126.81%-448.89M180.91%2.44B75.24%-290.63M169.39%540.64M228.67%516.76M352.74%1.67B
Net investment purchase and sale -118.07%-441.06M344.52%710.65M-153.60%-289.8M-179.93%-413.03M-126.81%-448.89M180.91%2.44B75.24%-290.63M169.39%540.64M228.67%516.76M352.74%1.67B
Cash from discontinued investing activities
Investing cash flow -118.07%-441.06M344.52%710.65M-153.60%-289.8M-179.93%-413.03M-126.81%-448.89M180.91%2.44B75.24%-290.63M169.39%540.64M228.67%516.76M352.74%1.67B
Financing cash flow
Cash flow from continuing financing activities 113.46%396.13M-401.29%-747.76M143.63%283.19M162.96%460.44M122.10%400.26M-195.84%-2.94B-77.71%248.19M-176.17%-649.06M-266.64%-731.33M-371.68%-1.81B
Change in federal funds and securities sold for repurchase 111.42%327.2M-394.91%-721.3M136.03%225.23M161.31%432.28M121.97%390.99M-208.20%-2.87B-76.26%244.58M-189.41%-625.12M-311.74%-705.13M-403.71%-1.78B
Net commonstock issuance 851.08%149.68M-126.59%-5.47M3,466.14%80.42M2,212.57%47.05M13,037.85%27.69M-96.94%15.74M-82.18%20.57M-101.35%-2.39M-101.79%-2.23M-100.22%-214K
Cash dividends paid 13.63%-80.75M-23.72%-20.99M-4.21%-22.46M21.21%-18.89M40.59%-18.42M-2.76%-93.49M46.92%-16.97M10.56%-21.55M-26.84%-23.97M-93.45%-31.01M
Cash from discontinued financing activities
Financing cash flow 113.46%396.13M-401.29%-747.76M143.63%283.19M162.96%460.44M122.10%400.26M-195.84%-2.94B-77.71%248.19M-176.17%-649.06M-266.64%-731.33M-371.68%-1.81B
Net cash flow
Beginning cash position -47.34%237.22M-0.97%278.22M-12.01%249.34M-56.50%185.96M-47.34%237.22M50.39%450.44M-40.88%280.95M-25.37%283.37M30.08%427.45M50.39%450.44M
Current changes in cash 82.68%-36.93M-78.19%-77.93M1,293.88%28.88M143.99%63.38M-122.90%-51.26M-241.27%-213.22M-76.33%-43.73M-102.53%-2.42M-381.80%-144.07M-179.07%-23M
End cash position -15.57%200.29M-15.57%200.29M-0.97%278.22M-12.01%249.34M-56.50%185.96M-47.34%237.22M-47.34%237.22M-40.88%280.95M-25.37%283.37M30.08%427.45M
Free cash flow -97.23%8M-3,069.41%-40.82M-66.52%35.49M-77.35%15.97M-102.30%-2.63M200.05%289.37M-103.65%-1.29M370.35%105.99M407.69%70.49M361.06%114.17M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

Analysis

Analyst Rating

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Price Target

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