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CVBF CVB Financial

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  • 19.810
  • +0.630+3.28%
Trading May 12 12:07 ET
2.73BMarket Cap13.66P/E (TTM)

CVB Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-45.95%41.88M
-15.51%249.77M
53.55%74.75M
-15.86%71.39M
-71.58%26.15M
10.49%77.47M
8.00%295.63M
-31.32%48.68M
13.95%84.85M
72.65%91.98M
Net income from continuing operations
5.15%51.1M
-9.36%200.72M
4.84%50.86M
-11.51%51.22M
-10.28%50.04M
-18.00%48.6M
-5.94%221.44M
-26.69%48.51M
-10.45%57.89M
-5.57%55.77M
Operating gains losses
----
--2.42M
----
----
----
----
----
----
----
----
Depreciation and amortization
55.89%4.82M
-15.42%15.37M
6.74%4.47M
22.96%6.95M
-77.80%863K
-30.49%3.09M
33.00%18.17M
-1.20%4.18M
53.66%5.65M
13.26%3.89M
Other non cashItems
-7,403.57%-2.05M
100.63%28K
---2.48M
--2.48M
--0
--28K
---4.47M
----
----
----
Change in working capital
-180.06%-16.23M
-67.00%11.68M
709.04%16.31M
-61.52%5.48M
-220.36%-30.38M
1,532.44%20.27M
461.13%35.39M
63.13%-2.68M
834.98%14.24M
244.66%25.24M
-Change in other working capital
-180.06%-16.23M
-67.00%11.68M
709.04%16.31M
-61.52%5.48M
-220.36%-30.38M
1,532.44%20.27M
461.13%35.39M
63.13%-2.68M
834.98%14.24M
244.66%25.24M
Cash from discontinued operating activities
Operating cash flow
-45.95%41.88M
-15.51%249.77M
53.55%74.75M
-15.86%71.39M
-71.58%26.15M
10.49%77.47M
8.00%295.63M
-31.32%48.68M
13.95%84.85M
72.65%91.98M
Investing cash flow
Cash flow from continuing investing activities
18.20%273.07M
59.01%852.75M
-441.04%-39.09M
182.66%457.9M
36.24%202.9M
-0.66%231.03M
145.56%536.28M
96.64%-7.22M
187.18%162M
133.40%148.92M
Proceeds payment in interest bearing deposits in bank
32.72%-2.97M
478.61%7.74M
680.77%23.86M
-164.44%-16.99M
128.53%5.29M
-84.69%-4.42M
-94.94%1.34M
-109.70%-4.11M
12,538.68%26.37M
-3,443.79%-18.53M
Net investment purchase and sale
-20.65%81.3M
15.15%447.06M
-269.18%-110.79M
270.80%347.13M
-10.87%108.27M
-4.85%102.45M
134.01%388.24M
-32.92%65.48M
183.53%93.62M
134.08%121.47M
Net proceeds payment for loan
30.91%173.17M
95.61%352.74M
172.43%18.64M
270.87%111.38M
142.37%90.45M
-4.63%132.28M
145.06%180.33M
91.49%-25.73M
138.81%30.03M
138.84%37.32M
Net PPE purchase and sale
-309.04%-679K
971.20%39.39M
2,692.75%42.55M
-128.63%-1.21M
11.27%-1.78M
51.60%-166K
-252.94%-4.52M
-26.04%-1.64M
69.66%-531K
-128.14%-2.01M
Net business purchase and sale
----
--0
----
----
----
----
--0
----
----
----
Net other investing changes
2,422.56%22.25M
119.98%5.82M
67.65%-13.34M
40.66%17.6M
-93.67%676K
107.97%882K
-546.04%-29.11M
-499.67%-41.23M
123.63%12.51M
--10.68M
Cash from discontinued investing activities
Investing cash flow
18.20%273.07M
59.01%852.75M
-440.96%-39.08M
182.66%457.9M
36.24%202.9M
-0.66%231.03M
145.56%536.28M
96.64%-7.23M
187.18%162M
133.40%148.92M
Financing cash flow
Cash flow from continuing financing activities
-97.38%9.44M
-56.36%-1.18B
-32,744.00%-284.43M
-47.32%-920.03M
-323.09%-334.44M
229.13%359.8M
-20.49%-754.08M
-102.99%-866K
-134.06%-624.51M
126.60%149.92M
Change in federal funds and securities sold for repurchase
250.07%14.28M
96.68%-9.76M
-6,445.84%-132.63M
168.75%125.69M
81.79%-6.89M
105.42%4.08M
-281.76%-293.79M
-97.86%2.09M
-422.57%-182.82M
60.59%-37.86M
Increase decrease in deposit
-90.99%41.54M
136.70%514.74M
86.59%-124.11M
828.45%282.16M
-183.24%-104.6M
181.73%461.28M
-6.04%-1.4B
10.71%-925.14M
80.62%-38.74M
130.24%125.65M
Net issuance payments of debt
--0
-246.05%-1.57B
--0
-246.67%-1.3B
-316.67%-195M
-118.29%-75M
8.29%1.08B
-4.52%950M
---375M
--90M
Net commonstock issuance
-626.27%-18.69M
86.72%-2.82M
-543.33%-193K
77.78%-30K
-40.00%-21K
87.77%-2.57M
81.76%-21.22M
75.81%-30K
97.65%-135K
99.96%-15K
Cash dividends paid
0.33%-27.94M
-0.13%-111.83M
-0.25%-27.94M
-0.24%-27.94M
-0.24%-27.93M
0.22%-28.03M
-6.94%-111.69M
0.34%-27.87M
-4.75%-27.87M
-9.35%-27.86M
Proceeds from stock option exercised by employees
486.05%252K
169.05%565K
412.94%436K
65.38%86K
--0
-40.28%43K
-89.08%210K
-86.25%85K
-84.71%52K
-99.59%1K
Cash from discontinued financing activities
Financing cash flow
-97.38%9.44M
-56.36%-1.18B
-32,744.00%-284.43M
-47.32%-920.03M
-323.09%-334.44M
229.13%359.8M
-20.49%-754.08M
-102.99%-866K
-134.06%-624.51M
126.60%149.92M
Net cash flow
Beginning cash position
-27.23%204.7M
38.25%281.29M
88.40%453.46M
36.52%844.19M
317.34%949.59M
38.25%281.29M
-88.26%203.46M
-24.44%240.7M
-11.25%618.36M
-86.24%227.53M
Current changes in cash
-51.46%324.39M
-198.41%-76.59M
-712.87%-248.76M
-3.46%-390.73M
-126.97%-105.4M
2,676.16%668.3M
105.09%77.82M
135.27%40.59M
0.13%-377.66M
140.87%390.82M
End cash position
-44.28%529.09M
-27.23%204.7M
-27.23%204.7M
88.40%453.46M
36.52%844.19M
317.34%949.59M
38.25%281.29M
38.25%281.29M
-24.44%240.7M
-11.25%618.36M
Free cash flow
-46.71%41.2M
-15.97%244.63M
54.71%72.78M
-16.77%70.18M
-72.92%24.37M
10.79%77.31M
8.47%291.11M
-32.40%47.04M
15.97%84.32M
72.74%89.98M
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
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -45.95%41.88M-15.51%249.77M53.55%74.75M-15.86%71.39M-71.58%26.15M10.49%77.47M8.00%295.63M-31.32%48.68M13.95%84.85M72.65%91.98M
Net income from continuing operations 5.15%51.1M-9.36%200.72M4.84%50.86M-11.51%51.22M-10.28%50.04M-18.00%48.6M-5.94%221.44M-26.69%48.51M-10.45%57.89M-5.57%55.77M
Operating gains losses ------2.42M--------------------------------
Depreciation and amortization 55.89%4.82M-15.42%15.37M6.74%4.47M22.96%6.95M-77.80%863K-30.49%3.09M33.00%18.17M-1.20%4.18M53.66%5.65M13.26%3.89M
Other non cashItems -7,403.57%-2.05M100.63%28K---2.48M--2.48M--0--28K---4.47M------------
Change in working capital -180.06%-16.23M-67.00%11.68M709.04%16.31M-61.52%5.48M-220.36%-30.38M1,532.44%20.27M461.13%35.39M63.13%-2.68M834.98%14.24M244.66%25.24M
-Change in other working capital -180.06%-16.23M-67.00%11.68M709.04%16.31M-61.52%5.48M-220.36%-30.38M1,532.44%20.27M461.13%35.39M63.13%-2.68M834.98%14.24M244.66%25.24M
Cash from discontinued operating activities
Operating cash flow -45.95%41.88M-15.51%249.77M53.55%74.75M-15.86%71.39M-71.58%26.15M10.49%77.47M8.00%295.63M-31.32%48.68M13.95%84.85M72.65%91.98M
Investing cash flow
Cash flow from continuing investing activities 18.20%273.07M59.01%852.75M-441.04%-39.09M182.66%457.9M36.24%202.9M-0.66%231.03M145.56%536.28M96.64%-7.22M187.18%162M133.40%148.92M
Proceeds payment in interest bearing deposits in bank 32.72%-2.97M478.61%7.74M680.77%23.86M-164.44%-16.99M128.53%5.29M-84.69%-4.42M-94.94%1.34M-109.70%-4.11M12,538.68%26.37M-3,443.79%-18.53M
Net investment purchase and sale -20.65%81.3M15.15%447.06M-269.18%-110.79M270.80%347.13M-10.87%108.27M-4.85%102.45M134.01%388.24M-32.92%65.48M183.53%93.62M134.08%121.47M
Net proceeds payment for loan 30.91%173.17M95.61%352.74M172.43%18.64M270.87%111.38M142.37%90.45M-4.63%132.28M145.06%180.33M91.49%-25.73M138.81%30.03M138.84%37.32M
Net PPE purchase and sale -309.04%-679K971.20%39.39M2,692.75%42.55M-128.63%-1.21M11.27%-1.78M51.60%-166K-252.94%-4.52M-26.04%-1.64M69.66%-531K-128.14%-2.01M
Net business purchase and sale ------0------------------0------------
Net other investing changes 2,422.56%22.25M119.98%5.82M67.65%-13.34M40.66%17.6M-93.67%676K107.97%882K-546.04%-29.11M-499.67%-41.23M123.63%12.51M--10.68M
Cash from discontinued investing activities
Investing cash flow 18.20%273.07M59.01%852.75M-440.96%-39.08M182.66%457.9M36.24%202.9M-0.66%231.03M145.56%536.28M96.64%-7.23M187.18%162M133.40%148.92M
Financing cash flow
Cash flow from continuing financing activities -97.38%9.44M-56.36%-1.18B-32,744.00%-284.43M-47.32%-920.03M-323.09%-334.44M229.13%359.8M-20.49%-754.08M-102.99%-866K-134.06%-624.51M126.60%149.92M
Change in federal funds and securities sold for repurchase 250.07%14.28M96.68%-9.76M-6,445.84%-132.63M168.75%125.69M81.79%-6.89M105.42%4.08M-281.76%-293.79M-97.86%2.09M-422.57%-182.82M60.59%-37.86M
Increase decrease in deposit -90.99%41.54M136.70%514.74M86.59%-124.11M828.45%282.16M-183.24%-104.6M181.73%461.28M-6.04%-1.4B10.71%-925.14M80.62%-38.74M130.24%125.65M
Net issuance payments of debt --0-246.05%-1.57B--0-246.67%-1.3B-316.67%-195M-118.29%-75M8.29%1.08B-4.52%950M---375M--90M
Net commonstock issuance -626.27%-18.69M86.72%-2.82M-543.33%-193K77.78%-30K-40.00%-21K87.77%-2.57M81.76%-21.22M75.81%-30K97.65%-135K99.96%-15K
Cash dividends paid 0.33%-27.94M-0.13%-111.83M-0.25%-27.94M-0.24%-27.94M-0.24%-27.93M0.22%-28.03M-6.94%-111.69M0.34%-27.87M-4.75%-27.87M-9.35%-27.86M
Proceeds from stock option exercised by employees 486.05%252K169.05%565K412.94%436K65.38%86K--0-40.28%43K-89.08%210K-86.25%85K-84.71%52K-99.59%1K
Cash from discontinued financing activities
Financing cash flow -97.38%9.44M-56.36%-1.18B-32,744.00%-284.43M-47.32%-920.03M-323.09%-334.44M229.13%359.8M-20.49%-754.08M-102.99%-866K-134.06%-624.51M126.60%149.92M
Net cash flow
Beginning cash position -27.23%204.7M38.25%281.29M88.40%453.46M36.52%844.19M317.34%949.59M38.25%281.29M-88.26%203.46M-24.44%240.7M-11.25%618.36M-86.24%227.53M
Current changes in cash -51.46%324.39M-198.41%-76.59M-712.87%-248.76M-3.46%-390.73M-126.97%-105.4M2,676.16%668.3M105.09%77.82M135.27%40.59M0.13%-377.66M140.87%390.82M
End cash position -44.28%529.09M-27.23%204.7M-27.23%204.7M88.40%453.46M36.52%844.19M317.34%949.59M38.25%281.29M38.25%281.29M-24.44%240.7M-11.25%618.36M
Free cash flow -46.71%41.2M-15.97%244.63M54.71%72.78M-16.77%70.18M-72.92%24.37M10.79%77.31M8.47%291.11M-32.40%47.04M15.97%84.32M72.74%89.98M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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