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SBNY Signature Bank

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  • 3.350000
  • 0.0000000.00%
15min DelayClose Apr 26 16:00 ET
210.96MMarket Cap0.16P/E (TTM)

Signature Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
7.51%945.68M
-79.85%85.73M
313.50%621.58M
773.02%405.21M
-123.87%-166.85M
-2.73%879.64M
837.85%425.44M
-196.86%-291.14M
-83.44%46.42M
151.28%698.93M
Net income from continuing operations
45.58%1.34B
10.61%300.85M
48.48%358.47M
58.14%339.2M
77.68%338.53M
73.83%918.44M
57.21%271.99M
74.25%241.42M
82.99%214.49M
91.32%190.53M
Operating gains losses
45.21%-10.31M
43.94%-2.54M
41.27%-2.27M
14.13%-2.47M
59.85%-3.03M
-14.17%-18.81M
-45.42%-4.53M
56.02%-3.87M
-103.18%-2.87M
-139.85%-7.54M
Depreciation and amortization
11.04%23.32M
-0.22%5.82M
12.74%6.01M
18.69%5.85M
14.89%5.64M
1.55%21.01M
19.05%5.84M
2.30%5.33M
-7.15%4.93M
-6.71%4.91M
Deferred tax
73.86%42.44M
-148.53%-18.88M
134.89%3.2M
109.78%1.92M
292.05%56.2M
120.84%24.41M
163.67%38.9M
60.33%-9.17M
49.71%-19.66M
132.18%14.34M
Other non cashItems
-18.12%-709.36M
-401.83%-143.4M
98.54%-5.43M
44.84%-270.18M
-236.29%-290.35M
-9,384.43%-600.52M
130.06%47.51M
-802.15%-371.31M
-669.21%-489.76M
78.08%213.04M
Change in working capital
-327.06%-244.1M
-295.49%-199.78M
147.16%122.76M
-9.87%216.95M
-316.22%-384.03M
539.30%107.51M
-345.02%-50.51M
-316.39%-260.3M
919.42%240.71M
383.04%177.62M
-Change in receivables
-392.62%-142.99M
-980.92%-46.9M
-1,108.12%-53.73M
-24.21%-11.58M
-49.57%-30.78M
77.72%-29.03M
119.10%5.32M
88.92%-4.45M
84.78%-9.32M
-1,909.86%-20.58M
-Change in payables and accrued expense
188.36%642.91M
34.40%-71.24M
36.60%306.18M
793.80%171.56M
78.91%236.4M
2.30%222.95M
-70.42%-108.6M
-1.57%224.14M
-130.87%-24.73M
604.81%132.14M
-Change in other current assets
-760.91%-744.02M
-254.72%-81.64M
72.98%-129.7M
-79.27%56.97M
-992.62%-589.65M
-21.99%-86.42M
-34.25%52.76M
-613.20%-480M
669.57%274.76M
285.81%66.06M
Cash from discontinued operating activities
Operating cash flow
7.51%945.68M
-79.85%85.73M
313.50%621.58M
773.02%405.21M
-123.87%-166.85M
-2.73%879.64M
837.85%425.44M
-196.86%-291.14M
-83.44%46.42M
151.28%698.93M
Investing cash flow
Cash flow from continuing investing activities
40.17%-16.23B
88.17%-1.2B
65.11%-2.22B
-1.54%-6.2B
-46.48%-6.61B
-128.32%-27.12B
-144.91%-10.14B
-327.47%-6.37B
-40.97%-6.1B
-134.96%-4.51B
Net investment purchase and sale
43.12%-6.19B
93.32%-252.91M
84.52%-346.53M
77.16%-569.43M
-112.87%-5.02B
-412.06%-10.88B
-154.46%-3.79B
-352.78%-2.24B
-1,676.03%-2.49B
-312,532.76%-2.36B
Net proceeds payment for loan
40.82%-9.6B
92.21%-494.01M
54.53%-1.87B
-56.76%-5.64B
26.28%-1.59B
-65.84%-16.22B
-139.74%-6.34B
-299.38%-4.12B
14.45%-3.6B
-13.64%-2.15B
Net PPE purchase and sale
-50.08%-48.32M
-9.94%-10.61M
-30.48%-13.85M
-69.38%-11.14M
-137.52%-12.73M
8.12%-32.2M
-67.46%-9.65M
-6.08%-10.61M
-26.81%-6.57M
61.96%-5.36M
Net other investing changes
-8,002.95%-393.65M
-45,549.64%-442.23M
220.42%13.1M
1,158.72%27.7M
206.94%7.78M
-91.65%4.98M
--973K
-91.30%4.09M
-110.61%-2.62M
121.09%2.54M
Cash from discontinued investing activities
Investing cash flow
40.17%-16.23B
88.17%-1.2B
65.11%-2.22B
-1.54%-6.2B
-46.48%-6.61B
-128.32%-27.12B
-144.91%-10.14B
-327.47%-6.37B
-40.97%-6.1B
-134.96%-4.51B
Financing cash flow
Cash flow from continuing financing activities
-119.27%-8.38B
-141.92%-4.4B
-114.34%-1.51B
-152.76%-5.96B
-68.97%3.48B
93.11%43.51B
4.67%10.5B
246.85%10.52B
59.74%11.29B
366.17%11.21B
Increase decrease in deposit
-140.97%-17.54B
-234.25%-14.19B
-113.43%-1.34B
-143.46%-5.04B
-71.65%3.02B
86.71%42.82B
17.71%10.57B
143.59%10B
45.01%11.59B
473.81%10.66B
Net issuance payments of debt
1,979.24%8.64B
39,416.00%9.83B
-19.78%-119.78M
-236.54%-875M
-152.97%-189.73M
50.43%-460M
-106.67%-25M
90.43%-100M
70.95%-260M
-111.77%-75M
Net commonstock issuance
-46.31%731.91M
-800.00%-36K
-100.00%-4K
-70.12%245K
3.38%731.7M
2,826.14%1.36B
-300.00%-4K
32,733,900.00%654.68M
--820K
1,515.37%707.8M
Net preferred stock issuance
--0
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--0
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Cash dividends paid
-5.66%-177.69M
-3.03%-44.44M
-3.64%-44.44M
-6.92%-44.44M
-9.29%-44.37M
-40.05%-168.17M
-43.69%-43.13M
-42.80%-42.88M
-38.41%-41.56M
-35.30%-40.6M
Net other financing activities
-4.34%-40.38M
0.00%-4K
--0
97.37%-3K
-4.64%-40.37M
-309.38%-38.7M
82.61%-4K
--0
-123.53%-114K
-311.49%-38.58M
Cash from discontinued financing activities
Financing cash flow
-119.27%-8.38B
-141.92%-4.4B
-114.34%-1.51B
-152.76%-5.96B
-68.97%3.48B
93.11%43.51B
4.67%10.5B
246.85%10.52B
59.74%11.29B
366.17%11.21B
Net cash flow
Beginning cash position
139.88%29.62B
-60.22%11.47B
-41.64%14.58B
33.30%26.32B
139.88%29.62B
1,463.41%12.35B
349.63%28.84B
446.52%24.98B
1,171.61%19.75B
1,463.41%12.35B
Current changes in cash
-237.02%-23.67B
-802.57%-5.52B
-180.62%-3.11B
-324.52%-11.75B
-144.55%-3.3B
49.43%17.27B
-86.77%785.01M
109.27%3.86B
73.36%5.23B
869.61%7.4B
End cash position
-79.90%5.95B
-79.90%5.95B
-60.22%11.47B
-41.64%14.58B
33.30%26.32B
139.88%29.62B
139.88%29.62B
349.63%28.84B
446.52%24.98B
1,171.61%19.75B
Free cash flow
5.89%897.36M
-81.93%75.12M
301.40%607.74M
889.12%394.08M
-125.89%-179.58M
-2.52%847.45M
949.97%415.79M
-203.85%-301.76M
-85.52%39.84M
162.66%693.57M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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Unqualified Opinion with Explanatory Notes
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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 7.51%945.68M-79.85%85.73M313.50%621.58M773.02%405.21M-123.87%-166.85M-2.73%879.64M837.85%425.44M-196.86%-291.14M-83.44%46.42M151.28%698.93M
Net income from continuing operations 45.58%1.34B10.61%300.85M48.48%358.47M58.14%339.2M77.68%338.53M73.83%918.44M57.21%271.99M74.25%241.42M82.99%214.49M91.32%190.53M
Operating gains losses 45.21%-10.31M43.94%-2.54M41.27%-2.27M14.13%-2.47M59.85%-3.03M-14.17%-18.81M-45.42%-4.53M56.02%-3.87M-103.18%-2.87M-139.85%-7.54M
Depreciation and amortization 11.04%23.32M-0.22%5.82M12.74%6.01M18.69%5.85M14.89%5.64M1.55%21.01M19.05%5.84M2.30%5.33M-7.15%4.93M-6.71%4.91M
Deferred tax 73.86%42.44M-148.53%-18.88M134.89%3.2M109.78%1.92M292.05%56.2M120.84%24.41M163.67%38.9M60.33%-9.17M49.71%-19.66M132.18%14.34M
Other non cashItems -18.12%-709.36M-401.83%-143.4M98.54%-5.43M44.84%-270.18M-236.29%-290.35M-9,384.43%-600.52M130.06%47.51M-802.15%-371.31M-669.21%-489.76M78.08%213.04M
Change in working capital -327.06%-244.1M-295.49%-199.78M147.16%122.76M-9.87%216.95M-316.22%-384.03M539.30%107.51M-345.02%-50.51M-316.39%-260.3M919.42%240.71M383.04%177.62M
-Change in receivables -392.62%-142.99M-980.92%-46.9M-1,108.12%-53.73M-24.21%-11.58M-49.57%-30.78M77.72%-29.03M119.10%5.32M88.92%-4.45M84.78%-9.32M-1,909.86%-20.58M
-Change in payables and accrued expense 188.36%642.91M34.40%-71.24M36.60%306.18M793.80%171.56M78.91%236.4M2.30%222.95M-70.42%-108.6M-1.57%224.14M-130.87%-24.73M604.81%132.14M
-Change in other current assets -760.91%-744.02M-254.72%-81.64M72.98%-129.7M-79.27%56.97M-992.62%-589.65M-21.99%-86.42M-34.25%52.76M-613.20%-480M669.57%274.76M285.81%66.06M
Cash from discontinued operating activities
Operating cash flow 7.51%945.68M-79.85%85.73M313.50%621.58M773.02%405.21M-123.87%-166.85M-2.73%879.64M837.85%425.44M-196.86%-291.14M-83.44%46.42M151.28%698.93M
Investing cash flow
Cash flow from continuing investing activities 40.17%-16.23B88.17%-1.2B65.11%-2.22B-1.54%-6.2B-46.48%-6.61B-128.32%-27.12B-144.91%-10.14B-327.47%-6.37B-40.97%-6.1B-134.96%-4.51B
Net investment purchase and sale 43.12%-6.19B93.32%-252.91M84.52%-346.53M77.16%-569.43M-112.87%-5.02B-412.06%-10.88B-154.46%-3.79B-352.78%-2.24B-1,676.03%-2.49B-312,532.76%-2.36B
Net proceeds payment for loan 40.82%-9.6B92.21%-494.01M54.53%-1.87B-56.76%-5.64B26.28%-1.59B-65.84%-16.22B-139.74%-6.34B-299.38%-4.12B14.45%-3.6B-13.64%-2.15B
Net PPE purchase and sale -50.08%-48.32M-9.94%-10.61M-30.48%-13.85M-69.38%-11.14M-137.52%-12.73M8.12%-32.2M-67.46%-9.65M-6.08%-10.61M-26.81%-6.57M61.96%-5.36M
Net other investing changes -8,002.95%-393.65M-45,549.64%-442.23M220.42%13.1M1,158.72%27.7M206.94%7.78M-91.65%4.98M--973K-91.30%4.09M-110.61%-2.62M121.09%2.54M
Cash from discontinued investing activities
Investing cash flow 40.17%-16.23B88.17%-1.2B65.11%-2.22B-1.54%-6.2B-46.48%-6.61B-128.32%-27.12B-144.91%-10.14B-327.47%-6.37B-40.97%-6.1B-134.96%-4.51B
Financing cash flow
Cash flow from continuing financing activities -119.27%-8.38B-141.92%-4.4B-114.34%-1.51B-152.76%-5.96B-68.97%3.48B93.11%43.51B4.67%10.5B246.85%10.52B59.74%11.29B366.17%11.21B
Increase decrease in deposit -140.97%-17.54B-234.25%-14.19B-113.43%-1.34B-143.46%-5.04B-71.65%3.02B86.71%42.82B17.71%10.57B143.59%10B45.01%11.59B473.81%10.66B
Net issuance payments of debt 1,979.24%8.64B39,416.00%9.83B-19.78%-119.78M-236.54%-875M-152.97%-189.73M50.43%-460M-106.67%-25M90.43%-100M70.95%-260M-111.77%-75M
Net commonstock issuance -46.31%731.91M-800.00%-36K-100.00%-4K-70.12%245K3.38%731.7M2,826.14%1.36B-300.00%-4K32,733,900.00%654.68M--820K1,515.37%707.8M
Net preferred stock issuance --0------------------0----------------
Cash dividends paid -5.66%-177.69M-3.03%-44.44M-3.64%-44.44M-6.92%-44.44M-9.29%-44.37M-40.05%-168.17M-43.69%-43.13M-42.80%-42.88M-38.41%-41.56M-35.30%-40.6M
Net other financing activities -4.34%-40.38M0.00%-4K--097.37%-3K-4.64%-40.37M-309.38%-38.7M82.61%-4K--0-123.53%-114K-311.49%-38.58M
Cash from discontinued financing activities
Financing cash flow -119.27%-8.38B-141.92%-4.4B-114.34%-1.51B-152.76%-5.96B-68.97%3.48B93.11%43.51B4.67%10.5B246.85%10.52B59.74%11.29B366.17%11.21B
Net cash flow
Beginning cash position 139.88%29.62B-60.22%11.47B-41.64%14.58B33.30%26.32B139.88%29.62B1,463.41%12.35B349.63%28.84B446.52%24.98B1,171.61%19.75B1,463.41%12.35B
Current changes in cash -237.02%-23.67B-802.57%-5.52B-180.62%-3.11B-324.52%-11.75B-144.55%-3.3B49.43%17.27B-86.77%785.01M109.27%3.86B73.36%5.23B869.61%7.4B
End cash position -79.90%5.95B-79.90%5.95B-60.22%11.47B-41.64%14.58B33.30%26.32B139.88%29.62B139.88%29.62B349.63%28.84B446.52%24.98B1,171.61%19.75B
Free cash flow 5.89%897.36M-81.93%75.12M301.40%607.74M889.12%394.08M-125.89%-179.58M-2.52%847.45M949.97%415.79M-203.85%-301.76M-85.52%39.84M162.66%693.57M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

Analysis

Analyst Rating

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Price Target

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