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SFBS Servisfirst Bancshares

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  • 60.110
  • -1.690-2.73%
Close Jun 3 16:00 ET
  • 60.110
  • 0.0000.00%
Post 16:20 ET
3.28BMarket Cap16.47P/E (TTM)

Servisfirst Bancshares Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-3.04%53.47M
-27.63%197.3M
19.94%91.08M
-82.01%12.72M
-32.41%38.34M
-20.38%55.15M
2.36%272.63M
7.26%75.94M
6.98%70.69M
-9.51%56.73M
Net income from continuing operations
-13.71%50.03M
-17.75%206.85M
-37.87%42.07M
-16.70%53.34M
-13.95%53.47M
0.62%57.97M
21.07%251.5M
25.99%67.72M
21.97%64.03M
24.20%62.14M
Operating gains losses
-53.39%-678K
-173.86%-2.76M
-54.28%-793K
-5.10%-824K
-131.37%-696K
-115.74%-442K
146.86%3.73M
-9.13%-514K
44.91%-784K
166.86%2.22M
Depreciation and amortization
2.61%1.1M
7.59%4.44M
26.46%1.2M
3.97%1.1M
2.98%1.07M
-0.93%1.07M
-6.04%4.12M
-14.94%945K
-4.95%1.06M
-3.97%1.04M
Deferred tax
5,259.18%2.63M
61.57%-1.01M
248.04%4.58M
-11,432.69%-5.89M
-95.37%263K
100.93%49K
48.29%-2.62M
39.07%-3.09M
--52K
3,712.75%5.68M
Other non cashItems
-521.92%-1.89M
-130.42%-487K
201.43%2.1M
-163.66%-1.45M
39.64%-1.59M
-64.75%447K
-92.37%1.6M
1,281.36%697K
-67.41%2.27M
-121.24%-2.63M
Change in working capital
54.29%-5.68M
-13.18%-46.46M
2,924.93%32.4M
-165.56%-41.34M
2.06%-25.1M
-1,063.18%-12.43M
-333.13%-41.05M
33.47%-1.15M
-294.70%-15.57M
-165.55%-25.63M
-Change in receivables
-7.12%-2.23M
20.84%-10.76M
68.37%-2.68M
-86.40%-6.32M
114.62%317K
-569.07%-2.08M
-776.17%-13.59M
-734.25%-8.48M
-394.74%-3.39M
-167.40%-2.17M
-Change in payables and accrued expense
-137.54%-723K
78.74%8.93M
-23.35%2.86M
18.74%1.62M
476.12%2.52M
240.28%1.93M
284.90%5M
304.99%3.73M
124.67%1.37M
13.66%-670K
-Change in other working capital
77.75%-2.73M
-37.52%-44.63M
796.27%32.22M
-170.56%-36.64M
-22.59%-27.94M
-4,467.62%-12.27M
-153.85%-32.46M
320.55%3.6M
-250.25%-13.54M
-88.45%-22.79M
Cash from discontinued operating activities
Operating cash flow
-3.04%53.47M
-27.63%197.3M
19.94%91.08M
-82.01%12.72M
-32.41%38.34M
-20.38%55.15M
2.36%272.63M
7.26%75.94M
6.98%70.69M
-9.51%56.73M
Investing cash flow
Cash flow from continuing investing activities
-430.16%-283.86M
92.41%-200.43M
92.81%-27.54M
123.63%148.35M
55.37%-407.21M
111.96%85.98M
-69.25%-2.64B
64.58%-383.1M
-318.06%-627.8M
-335.39%-912.5M
Net investment purchase and sale
-293.57%-58.6M
55.46%-213.26M
-120.48%-6.16M
470.13%190.14M
-120.77%-427.51M
108.68%30.28M
-0.88%-478.81M
108.50%30.1M
267.38%33.35M
-271.19%-193.65M
Net proceeds payment for loan
-495.49%-223.8M
100.75%16.31M
95.00%-20.57M
93.91%-40.48M
102.89%20.78M
115.32%56.59M
-101.81%-2.16B
43.02%-411.21M
-302.36%-664.45M
-394.82%-719.04M
Net PPE purchase and sale
18.04%-1.08M
-7.12%-3.91M
41.52%-1M
-46.56%-960K
-3.09%-633K
-97.30%-1.31M
61.37%-3.65M
-338.62%-1.72M
-111.41%-655K
95.00%-614K
Net other investing changes
-189.93%-384K
-90.28%423K
170.48%191K
-108.92%-353K
-80.20%158K
428.46%427K
193.39%4.35M
95.14%-271K
2,537.33%3.96M
350.85%798K
Cash from discontinued investing activities
Investing cash flow
-430.16%-283.86M
92.41%-200.43M
92.81%-27.54M
123.63%148.35M
55.37%-407.21M
111.96%85.98M
-69.25%-2.64B
64.58%-383.1M
-318.06%-627.8M
-335.39%-912.5M
Financing cash flow
Cash flow from continuing financing activities
-421.77%-449.8M
227.18%1.32B
-99.62%2.44M
244.03%926.35M
152.90%475.59M
33.25%-86.21M
-131.36%-1.04B
-19.48%634.88M
-147.72%-643.16M
-273.58%-899.02M
Change in federal funds and securities sold for repurchase
163.91%88.6M
-289.41%-362.07M
-174.48%-113.57M
-6.39%72.22M
27.18%-182.09M
-91.12%-138.64M
-110.81%-92.98M
-64.13%152.48M
-66.05%77.16M
-269.06%-250.07M
Increase decrease in deposit
-862.00%-522.06M
290.58%1.73B
-73.50%131.14M
218.56%854.16M
205.73%672.9M
255.42%68.51M
-136.58%-906.03M
32.26%494.89M
-164.30%-720.42M
-267.20%-636.42M
Net issuance payments of debt
--0
--0
--0
----
----
--0
--0
--0
----
----
Cash dividends paid
-7.41%-16.34M
-21.96%-45.77M
-20.95%-15.27M
-134.57%-28K
-21.96%-15.26M
-21.96%-15.21M
-15.19%-37.53M
-15.30%-12.63M
211.54%81K
-15.13%-12.52M
Proceeds from stock option exercised by employees
-84.63%130K
4.46%1.29M
78.43%273K
--0
-45.63%168K
52.98%846K
-65.14%1.23M
-51.43%153K
36.48%217K
-74.14%309K
Net other financing activities
92.25%-133K
-72.79%-1.98M
-878.57%-137K
--0
62.69%-122K
-179.93%-1.72M
59.87%-1.14M
87.39%-14K
-90.91%-189K
64.76%-327K
Cash from discontinued financing activities
Financing cash flow
-421.77%-449.8M
227.18%1.32B
-99.62%2.44M
244.03%926.35M
152.90%475.59M
33.25%-86.21M
-131.36%-1.04B
-19.48%634.88M
-147.72%-643.16M
-273.58%-899.02M
Net cash flow
Beginning cash position
161.15%2.13B
-80.67%816.05M
322.90%2.07B
-42.10%977.69M
-74.71%870.97M
-80.67%816.05M
90.92%4.22B
-89.01%488.33M
-46.91%1.69B
22.55%3.44B
Current changes in cash
-1,338.55%-680.19M
138.61%1.32B
-79.87%65.98M
190.60%1.09B
106.08%106.72M
107.05%54.92M
-269.40%-3.41B
247.37%327.73M
-194.98%-1.2B
-572.93%-1.75B
End cash position
66.58%1.45B
161.15%2.13B
161.15%2.13B
322.90%2.07B
-42.10%977.69M
-74.71%870.97M
-80.67%816.05M
-80.67%816.05M
-89.01%488.33M
-46.91%1.69B
Free cash flow
-2.67%52.4M
-28.10%193.39M
21.36%90.08M
-83.21%11.76M
-32.80%37.71M
-21.52%53.84M
4.71%268.98M
5.42%74.23M
-2.49%70.03M
11.32%56.12M
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -3.04%53.47M-27.63%197.3M19.94%91.08M-82.01%12.72M-32.41%38.34M-20.38%55.15M2.36%272.63M7.26%75.94M6.98%70.69M-9.51%56.73M
Net income from continuing operations -13.71%50.03M-17.75%206.85M-37.87%42.07M-16.70%53.34M-13.95%53.47M0.62%57.97M21.07%251.5M25.99%67.72M21.97%64.03M24.20%62.14M
Operating gains losses -53.39%-678K-173.86%-2.76M-54.28%-793K-5.10%-824K-131.37%-696K-115.74%-442K146.86%3.73M-9.13%-514K44.91%-784K166.86%2.22M
Depreciation and amortization 2.61%1.1M7.59%4.44M26.46%1.2M3.97%1.1M2.98%1.07M-0.93%1.07M-6.04%4.12M-14.94%945K-4.95%1.06M-3.97%1.04M
Deferred tax 5,259.18%2.63M61.57%-1.01M248.04%4.58M-11,432.69%-5.89M-95.37%263K100.93%49K48.29%-2.62M39.07%-3.09M--52K3,712.75%5.68M
Other non cashItems -521.92%-1.89M-130.42%-487K201.43%2.1M-163.66%-1.45M39.64%-1.59M-64.75%447K-92.37%1.6M1,281.36%697K-67.41%2.27M-121.24%-2.63M
Change in working capital 54.29%-5.68M-13.18%-46.46M2,924.93%32.4M-165.56%-41.34M2.06%-25.1M-1,063.18%-12.43M-333.13%-41.05M33.47%-1.15M-294.70%-15.57M-165.55%-25.63M
-Change in receivables -7.12%-2.23M20.84%-10.76M68.37%-2.68M-86.40%-6.32M114.62%317K-569.07%-2.08M-776.17%-13.59M-734.25%-8.48M-394.74%-3.39M-167.40%-2.17M
-Change in payables and accrued expense -137.54%-723K78.74%8.93M-23.35%2.86M18.74%1.62M476.12%2.52M240.28%1.93M284.90%5M304.99%3.73M124.67%1.37M13.66%-670K
-Change in other working capital 77.75%-2.73M-37.52%-44.63M796.27%32.22M-170.56%-36.64M-22.59%-27.94M-4,467.62%-12.27M-153.85%-32.46M320.55%3.6M-250.25%-13.54M-88.45%-22.79M
Cash from discontinued operating activities
Operating cash flow -3.04%53.47M-27.63%197.3M19.94%91.08M-82.01%12.72M-32.41%38.34M-20.38%55.15M2.36%272.63M7.26%75.94M6.98%70.69M-9.51%56.73M
Investing cash flow
Cash flow from continuing investing activities -430.16%-283.86M92.41%-200.43M92.81%-27.54M123.63%148.35M55.37%-407.21M111.96%85.98M-69.25%-2.64B64.58%-383.1M-318.06%-627.8M-335.39%-912.5M
Net investment purchase and sale -293.57%-58.6M55.46%-213.26M-120.48%-6.16M470.13%190.14M-120.77%-427.51M108.68%30.28M-0.88%-478.81M108.50%30.1M267.38%33.35M-271.19%-193.65M
Net proceeds payment for loan -495.49%-223.8M100.75%16.31M95.00%-20.57M93.91%-40.48M102.89%20.78M115.32%56.59M-101.81%-2.16B43.02%-411.21M-302.36%-664.45M-394.82%-719.04M
Net PPE purchase and sale 18.04%-1.08M-7.12%-3.91M41.52%-1M-46.56%-960K-3.09%-633K-97.30%-1.31M61.37%-3.65M-338.62%-1.72M-111.41%-655K95.00%-614K
Net other investing changes -189.93%-384K-90.28%423K170.48%191K-108.92%-353K-80.20%158K428.46%427K193.39%4.35M95.14%-271K2,537.33%3.96M350.85%798K
Cash from discontinued investing activities
Investing cash flow -430.16%-283.86M92.41%-200.43M92.81%-27.54M123.63%148.35M55.37%-407.21M111.96%85.98M-69.25%-2.64B64.58%-383.1M-318.06%-627.8M-335.39%-912.5M
Financing cash flow
Cash flow from continuing financing activities -421.77%-449.8M227.18%1.32B-99.62%2.44M244.03%926.35M152.90%475.59M33.25%-86.21M-131.36%-1.04B-19.48%634.88M-147.72%-643.16M-273.58%-899.02M
Change in federal funds and securities sold for repurchase 163.91%88.6M-289.41%-362.07M-174.48%-113.57M-6.39%72.22M27.18%-182.09M-91.12%-138.64M-110.81%-92.98M-64.13%152.48M-66.05%77.16M-269.06%-250.07M
Increase decrease in deposit -862.00%-522.06M290.58%1.73B-73.50%131.14M218.56%854.16M205.73%672.9M255.42%68.51M-136.58%-906.03M32.26%494.89M-164.30%-720.42M-267.20%-636.42M
Net issuance payments of debt --0--0--0----------0--0--0--------
Cash dividends paid -7.41%-16.34M-21.96%-45.77M-20.95%-15.27M-134.57%-28K-21.96%-15.26M-21.96%-15.21M-15.19%-37.53M-15.30%-12.63M211.54%81K-15.13%-12.52M
Proceeds from stock option exercised by employees -84.63%130K4.46%1.29M78.43%273K--0-45.63%168K52.98%846K-65.14%1.23M-51.43%153K36.48%217K-74.14%309K
Net other financing activities 92.25%-133K-72.79%-1.98M-878.57%-137K--062.69%-122K-179.93%-1.72M59.87%-1.14M87.39%-14K-90.91%-189K64.76%-327K
Cash from discontinued financing activities
Financing cash flow -421.77%-449.8M227.18%1.32B-99.62%2.44M244.03%926.35M152.90%475.59M33.25%-86.21M-131.36%-1.04B-19.48%634.88M-147.72%-643.16M-273.58%-899.02M
Net cash flow
Beginning cash position 161.15%2.13B-80.67%816.05M322.90%2.07B-42.10%977.69M-74.71%870.97M-80.67%816.05M90.92%4.22B-89.01%488.33M-46.91%1.69B22.55%3.44B
Current changes in cash -1,338.55%-680.19M138.61%1.32B-79.87%65.98M190.60%1.09B106.08%106.72M107.05%54.92M-269.40%-3.41B247.37%327.73M-194.98%-1.2B-572.93%-1.75B
End cash position 66.58%1.45B161.15%2.13B161.15%2.13B322.90%2.07B-42.10%977.69M-74.71%870.97M-80.67%816.05M-80.67%816.05M-89.01%488.33M-46.91%1.69B
Free cash flow -2.67%52.4M-28.10%193.39M21.36%90.08M-83.21%11.76M-32.80%37.71M-21.52%53.84M4.71%268.98M5.42%74.23M-2.49%70.03M11.32%56.12M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

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