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USCB U.S. Century Bank

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  • 17.650
  • -1.410-7.40%
Close Dec 18 16:00 ET
  • 19.800
  • +2.150+12.18%
Pre 04:14 ET
350.19MMarket Cap16.97P/E (TTM)

U.S. Century Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
34.54%11.22M
60.01%17.9M
-10.83%8.03M
-23.67%22.55M
-195.21%-5.98M
-27.22%8.34M
-22.87%11.19M
60.65%9M
33.95%29.54M
-26.80%-2.03M
Net income from continuing operations
81.96%6.95M
47.97%6.21M
-20.61%4.61M
-17.85%16.55M
-38.63%2.72M
-31.29%3.82M
-20.76%4.2M
19.67%5.81M
-4.44%20.14M
-21.52%4.43M
Operating gains losses
-115.57%-109K
-358.51%-431K
79.45%-67K
-35.41%1.06M
-56.39%778K
207.02%700K
-394.74%-94K
8.17%-326K
158.02%1.64M
258.58%1.78M
Depreciation and amortization
3.45%150K
-1.35%146K
-6.67%140K
-14.24%590K
-6.96%147K
-13.17%145K
-15.43%148K
-20.21%150K
-33.40%688K
-16.40%158K
Deferred tax
38.77%1.74M
47.71%1.97M
-24.30%1.42M
-24.39%5.25M
-44.49%786K
-36.24%1.25M
-22.00%1.33M
1.24%1.88M
5.23%6.95M
-19.13%1.42M
Other non cashItems
64.61%-431K
-53.14%-415K
-53.93%-411K
-103.58%-2.16M
-51.31%-404K
-359.62%-1.22M
-3.04%-271K
-0.38%-267K
-39.79%-1.06M
-2.69%-267K
Change in working capital
-63.26%1.19M
60.82%9.25M
8.93%1.7M
-51.43%-1.16M
-12.19%-11.72M
-7.62%3.25M
-9.12%5.75M
1,037.95%1.56M
-1,569.57%-768K
-43.25%-10.44M
-Change in receivables
186.76%773K
-78.07%41K
-32.99%-891K
-100.00%-3.14M
-80.78%-1.77M
-54.42%-891K
-40.06%187K
-104.27%-670K
-267.06%-1.57M
-1,058.82%-978K
-Change in payables and accrued expense
33.51%7.51M
94.60%9.94M
57.03%3.05M
-59.60%1.72M
-7.67%-10.96M
-9.02%5.63M
-2.63%5.11M
-35.23%1.94M
60.33%4.25M
-29.73%-10.18M
-Change in other current assets
-376.11%-7.09M
-261.32%-734K
-263.38%-464K
107.57%261K
41.74%1.01M
28.84%-1.49M
-40.83%455K
110.01%284K
-51.94%-3.45M
57.27%714K
Cash from discontinued operating activities
Operating cash flow
34.54%11.22M
60.01%17.9M
-10.83%8.03M
-23.67%22.55M
-195.21%-5.98M
-27.22%8.34M
-22.87%11.19M
60.65%9M
33.95%29.54M
-26.80%-2.03M
Investing cash flow
Cash flow from continuing investing activities
2.65%-74.77M
55.32%-19.77M
4.06%-66.42M
-0.89%-273M
-18.55%-82.72M
-95.31%-76.8M
45.22%-44.25M
14.25%-69.23M
24.70%-270.6M
45.25%-69.77M
Net investment purchase and sale
-164.52%-10.43M
192.94%28.05M
-563.38%-30.66M
-69.97%13.75M
194.23%21.16M
-4.17%16.16M
-186.26%-30.18M
149.92%6.62M
122.90%45.79M
107.10%7.19M
Net proceeds payment for loan
22.02%-62.56M
-209.37%-47.74M
44.48%-40.29M
13.48%-272.48M
-38.11%-104.25M
-39.08%-80.23M
86.54%-15.43M
-8.07%-72.57M
-115.61%-314.93M
-501.75%-75.48M
Net PPE purchase and sale
-9.86%-78K
-128.95%-87K
-313.64%-91K
75.78%-163K
93.57%-32K
-3,450.00%-71K
-111.11%-38K
85.81%-22K
-166.05%-673K
-137.36%-498K
Net other investing changes
86.50%-1.71M
--0
241.70%4.62M
-1,704.48%-14.11M
142.04%412K
-944.27%-12.66M
224.62%1.4M
-1,742.37%-3.26M
94.57%-782K
93.47%-980K
Cash from discontinued investing activities
Investing cash flow
2.65%-74.77M
55.32%-19.77M
4.06%-66.42M
-0.89%-273M
-18.55%-82.72M
-95.31%-76.8M
45.22%-44.25M
14.25%-69.23M
24.70%-270.6M
45.25%-69.77M
Financing cash flow
Cash flow from continuing financing activities
69.48%24.78M
-183.04%-47.41M
107.58%143.88M
-4.68%237.35M
82.99%96.32M
-18.42%14.62M
3.01%57.09M
-43.65%69.31M
-29.80%249M
-57.75%52.64M
Increase decrease in deposit
18,547.49%69.92M
-150.74%-46.09M
13,926.67%165.66M
-54.85%107.86M
-50.31%16.22M
-100.65%-379K
257.27%90.84M
-99.04%1.18M
-24.63%238.9M
-69.15%32.64M
Net issuance payments of debt
-393.33%-44M
--0
-128.38%-21M
1,270.00%137M
305.00%81M
137.50%15M
-210.00%-33M
--74M
--10M
--20M
Net commonstock issuance
---121K
59.79%-300K
104.14%243K
-7,460.78%-7.51M
---895K
--0
---746K
-5,851.96%-5.87M
-99.74%102K
--0
Cash dividends paid
---1.02M
---1.02M
---1.02M
----
----
--0
--0
--0
----
----
Cash from discontinued financing activities
Financing cash flow
69.48%24.78M
-183.04%-47.41M
107.58%143.88M
-4.68%237.35M
82.99%96.32M
-18.42%14.62M
3.01%57.09M
-43.65%69.31M
-25.85%249M
-50.18%52.64M
Net cash flow
Beginning cash position
-11.48%77.26M
100.07%126.55M
-24.20%41.06M
17.18%54.17M
-54.40%33.44M
4.81%87.28M
-32.79%63.25M
17.18%54.17M
-3.15%46.23M
5.36%73.33M
Current changes in cash
27.99%-38.78M
-305.11%-49.29M
841.14%85.48M
-265.06%-13.11M
139.81%7.63M
-441.37%-53.85M
321.65%24.03M
-81.03%9.08M
627.22%7.94M
18.02%-19.16M
End cash position
15.11%38.49M
-11.48%77.26M
100.07%126.55M
-24.20%41.06M
-24.20%41.06M
-54.40%33.44M
4.81%87.28M
-32.79%63.25M
17.18%54.17M
17.18%54.17M
Free cash flow
34.75%11.14M
59.77%17.81M
-11.63%7.94M
-22.45%22.38M
-138.21%-6.01M
-27.83%8.27M
-23.04%11.15M
64.81%8.98M
34.77%28.86M
-31.68%-2.52M
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
--
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 34.54%11.22M 60.01%17.9M -10.83%8.03M -23.67%22.55M -195.21%-5.98M -27.22%8.34M -22.87%11.19M 60.65%9M 33.95%29.54M -26.80%-2.03M
Net income from continuing operations 81.96%6.95M 47.97%6.21M -20.61%4.61M -17.85%16.55M -38.63%2.72M -31.29%3.82M -20.76%4.2M 19.67%5.81M -4.44%20.14M -21.52%4.43M
Operating gains losses -115.57%-109K -358.51%-431K 79.45%-67K -35.41%1.06M -56.39%778K 207.02%700K -394.74%-94K 8.17%-326K 158.02%1.64M 258.58%1.78M
Depreciation and amortization 3.45%150K -1.35%146K -6.67%140K -14.24%590K -6.96%147K -13.17%145K -15.43%148K -20.21%150K -33.40%688K -16.40%158K
Deferred tax 38.77%1.74M 47.71%1.97M -24.30%1.42M -24.39%5.25M -44.49%786K -36.24%1.25M -22.00%1.33M 1.24%1.88M 5.23%6.95M -19.13%1.42M
Other non cashItems 64.61%-431K -53.14%-415K -53.93%-411K -103.58%-2.16M -51.31%-404K -359.62%-1.22M -3.04%-271K -0.38%-267K -39.79%-1.06M -2.69%-267K
Change in working capital -63.26%1.19M 60.82%9.25M 8.93%1.7M -51.43%-1.16M -12.19%-11.72M -7.62%3.25M -9.12%5.75M 1,037.95%1.56M -1,569.57%-768K -43.25%-10.44M
-Change in receivables 186.76%773K -78.07%41K -32.99%-891K -100.00%-3.14M -80.78%-1.77M -54.42%-891K -40.06%187K -104.27%-670K -267.06%-1.57M -1,058.82%-978K
-Change in payables and accrued expense 33.51%7.51M 94.60%9.94M 57.03%3.05M -59.60%1.72M -7.67%-10.96M -9.02%5.63M -2.63%5.11M -35.23%1.94M 60.33%4.25M -29.73%-10.18M
-Change in other current assets -376.11%-7.09M -261.32%-734K -263.38%-464K 107.57%261K 41.74%1.01M 28.84%-1.49M -40.83%455K 110.01%284K -51.94%-3.45M 57.27%714K
Cash from discontinued operating activities
Operating cash flow 34.54%11.22M 60.01%17.9M -10.83%8.03M -23.67%22.55M -195.21%-5.98M -27.22%8.34M -22.87%11.19M 60.65%9M 33.95%29.54M -26.80%-2.03M
Investing cash flow
Cash flow from continuing investing activities 2.65%-74.77M 55.32%-19.77M 4.06%-66.42M -0.89%-273M -18.55%-82.72M -95.31%-76.8M 45.22%-44.25M 14.25%-69.23M 24.70%-270.6M 45.25%-69.77M
Net investment purchase and sale -164.52%-10.43M 192.94%28.05M -563.38%-30.66M -69.97%13.75M 194.23%21.16M -4.17%16.16M -186.26%-30.18M 149.92%6.62M 122.90%45.79M 107.10%7.19M
Net proceeds payment for loan 22.02%-62.56M -209.37%-47.74M 44.48%-40.29M 13.48%-272.48M -38.11%-104.25M -39.08%-80.23M 86.54%-15.43M -8.07%-72.57M -115.61%-314.93M -501.75%-75.48M
Net PPE purchase and sale -9.86%-78K -128.95%-87K -313.64%-91K 75.78%-163K 93.57%-32K -3,450.00%-71K -111.11%-38K 85.81%-22K -166.05%-673K -137.36%-498K
Net other investing changes 86.50%-1.71M --0 241.70%4.62M -1,704.48%-14.11M 142.04%412K -944.27%-12.66M 224.62%1.4M -1,742.37%-3.26M 94.57%-782K 93.47%-980K
Cash from discontinued investing activities
Investing cash flow 2.65%-74.77M 55.32%-19.77M 4.06%-66.42M -0.89%-273M -18.55%-82.72M -95.31%-76.8M 45.22%-44.25M 14.25%-69.23M 24.70%-270.6M 45.25%-69.77M
Financing cash flow
Cash flow from continuing financing activities 69.48%24.78M -183.04%-47.41M 107.58%143.88M -4.68%237.35M 82.99%96.32M -18.42%14.62M 3.01%57.09M -43.65%69.31M -29.80%249M -57.75%52.64M
Increase decrease in deposit 18,547.49%69.92M -150.74%-46.09M 13,926.67%165.66M -54.85%107.86M -50.31%16.22M -100.65%-379K 257.27%90.84M -99.04%1.18M -24.63%238.9M -69.15%32.64M
Net issuance payments of debt -393.33%-44M --0 -128.38%-21M 1,270.00%137M 305.00%81M 137.50%15M -210.00%-33M --74M --10M --20M
Net commonstock issuance ---121K 59.79%-300K 104.14%243K -7,460.78%-7.51M ---895K --0 ---746K -5,851.96%-5.87M -99.74%102K --0
Cash dividends paid ---1.02M ---1.02M ---1.02M ---- ---- --0 --0 --0 ---- ----
Cash from discontinued financing activities
Financing cash flow 69.48%24.78M -183.04%-47.41M 107.58%143.88M -4.68%237.35M 82.99%96.32M -18.42%14.62M 3.01%57.09M -43.65%69.31M -25.85%249M -50.18%52.64M
Net cash flow
Beginning cash position -11.48%77.26M 100.07%126.55M -24.20%41.06M 17.18%54.17M -54.40%33.44M 4.81%87.28M -32.79%63.25M 17.18%54.17M -3.15%46.23M 5.36%73.33M
Current changes in cash 27.99%-38.78M -305.11%-49.29M 841.14%85.48M -265.06%-13.11M 139.81%7.63M -441.37%-53.85M 321.65%24.03M -81.03%9.08M 627.22%7.94M 18.02%-19.16M
End cash position 15.11%38.49M -11.48%77.26M 100.07%126.55M -24.20%41.06M -24.20%41.06M -54.40%33.44M 4.81%87.28M -32.79%63.25M 17.18%54.17M 17.18%54.17M
Free cash flow 34.75%11.14M 59.77%17.81M -11.63%7.94M -22.45%22.38M -138.21%-6.01M -27.83%8.27M -23.04%11.15M 64.81%8.98M 34.77%28.86M -31.68%-2.52M
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 --
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