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HFBL Home Federal Bancorp

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  • 12.890
  • -0.530-3.95%
Close Apr 30 16:00 ET
  • 12.890
  • 0.0000.00%
Post 16:05 ET
40.38MMarket Cap11.83P/E (TTM)

Home Federal Bancorp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
198.90%2.61M
-65.03%855K
-80.85%2.32M
-43.20%1.86M
-82.92%650K
-479.68%-2.64M
-43.60%2.45M
-29.04%12.11M
222.27%3.27M
-58.10%3.81M
Net income from continuing operations
1.69%1.02M
-22.87%941K
-37.01%3.59M
-49.28%638K
-31.07%732K
-41.45%1M
-26.99%1.22M
17.05%5.7M
17.79%1.26M
-16.84%1.06M
Operating gains losses
100.78%1K
-357.14%-96K
39.25%-291K
-14.08%-81K
36.17%-60K
7.86%-129K
87.93%-21K
75.83%-479K
69.79%-71K
71.25%-94K
Depreciation and amortization
-27.08%315K
25.00%280K
47.07%1.28M
105.33%308K
9.03%314K
102.82%432K
2.75%224K
13.89%869K
-25.74%150K
48.45%288K
Deferred tax
-120.56%-59K
-100.68%-295K
170.11%122K
167.87%150K
-146.03%-168K
5,640.00%287K
54.49%-147K
46.30%-174K
21.91%-221K
254.01%365K
Other non cashItems
282.97%1.95M
72.59%-273K
-144.20%-1.92M
-88.72%134K
-99.13%10K
-643.36%-1.06M
-146.56%-996K
-66.91%4.33M
187.93%1.19M
-86.99%1.15M
Change in working capital
86.07%-414K
-97.37%42K
-206.16%-638K
-10.30%601K
-81.99%136K
-141.23%-2.97M
291.42%1.6M
104.42%601K
-45.75%670K
216.15%755K
-Change in receivables
-208.33%-26K
111.97%14K
102.25%15K
192.35%157K
79.24%-49K
117.91%24K
7.14%-117K
-1,807.69%-666K
-347.37%-170K
-636.36%-236K
-Change in other current assets
161.70%29K
-237.42%-224K
311.43%74K
-441.18%-58K
128.57%16K
70.99%-47K
58.25%163K
-109.56%-35K
-98.14%17K
100.88%7K
-Change in other current liabilities
85.86%-417K
-83.75%252K
-155.84%-727K
-39.00%502K
-82.83%169K
-215.06%-2.95M
259.86%1.55M
1,272.97%1.3M
129.25%823K
884.00%984K
Cash from discontinued operating activities
Operating cash flow
198.29%2.59M
-64.38%871K
-80.85%2.32M
-43.20%1.86M
-82.92%650K
-479.68%-2.64M
-43.60%2.45M
-29.04%12.11M
222.27%3.27M
-58.10%3.81M
Investing cash flow
Cash flow from continuing investing activities
-135.31%-3.64M
191.60%16.62M
129.90%34.48M
1,229.41%31.83M
112.30%10.48M
187.26%10.32M
12.03%-18.15M
-46.35%-115.31M
107.67%2.39M
-1,101.27%-85.25M
Net investment purchase and sale
-96.30%229K
-547.62%-544K
410.59%18.42M
-30.80%4.16M
170.71%8.16M
313.43%6.19M
95.57%-84K
77.52%-5.93M
200.92%6.01M
-98.52%-11.54M
Net proceeds payment for loan
-182.17%-3.96M
197.07%17.13M
118.99%18.4M
940.37%28.06M
105.12%3.16M
136.61%4.82M
5.27%-17.64M
-91.35%-96.88M
86.68%-3.34M
-5,448.79%-61.76M
Net PPE purchase and sale
99.31%-6K
102.44%16K
-127.43%-2.69M
-103.26%-374K
-8.94%-792K
-426.83%-864K
-518.87%-656K
54.12%-1.18M
-17.20%-184K
26.12%-727K
Net business purchase and sale
----
----
--0
--0
----
----
----
---10.24M
--0
----
Net other investing changes
-48.31%92K
-90.34%23K
132.37%348K
80.43%-18K
---50K
--178K
--238K
-234.54%-1.08M
-513.33%-92K
----
Cash from discontinued investing activities
Investing cash flow
-135.31%-3.64M
191.60%16.62M
129.90%34.48M
1,229.41%31.83M
112.30%10.48M
187.26%10.32M
12.03%-18.15M
-46.35%-115.31M
107.67%2.39M
-1,101.27%-85.25M
Financing cash flow
Cash flow from continuing financing activities
-158.99%-20.45M
-5,994.12%-11.4M
-141.66%-26.62M
74.48%-6.76M
-111.05%-11.78M
-32.71%-7.9M
98.18%-187K
198.48%63.9M
-274.19%-26.47M
3,875.01%106.57M
Increase decrease in deposit
-104.33%-18.02M
-94.54%-9.45M
-135.73%-23.35M
71.35%-4.87M
-105.00%-4.81M
-58.89%-8.82M
41.00%-4.86M
157.41%65.37M
-212.51%-17.01M
1,947.76%96.16M
Net issuance payments of debt
-193.75%-1.5M
-130.61%-1.5M
-128.87%-1.55M
84.54%-1.5M
-160.17%-6.55M
737.70%1.6M
22.78%4.9M
6,415.29%5.37M
-1,892.98%-9.7M
1,635.40%10.89M
Net commonstock issuance
-406.67%-152K
---182K
91.83%-487K
---448K
-800.00%-9K
57.14%-30K
--0
-32.98%-5.96M
--0
99.94%-1K
Cash dividends paid
-3.83%-407K
-4.34%-409K
-2.55%-1.57M
-7.40%-392K
-2.34%-393K
-4.81%-392K
3.69%-392K
-13.08%-1.53M
-7.35%-365K
-12.28%-384K
Proceeds from stock option exercised by employees
--0
--19K
14.02%374K
218.92%354K
5.26%20K
--0
--0
-82.64%328K
--111K
-97.05%19K
Net other financing activities
-45.91%-375K
-23.60%123K
-110.22%-33K
-78.96%105K
62.83%-42K
-29.15%-257K
18.38%161K
617.78%323K
239.46%499K
-1,041.67%-113K
Cash from discontinued financing activities
Financing cash flow
-158.99%-20.45M
-5,994.12%-11.4M
-141.66%-26.62M
74.48%-6.76M
-111.05%-11.78M
-32.71%-7.9M
98.18%-187K
198.48%63.9M
-274.19%-26.47M
3,875.01%106.57M
Net cash flow
Beginning cash position
362.31%41.04M
41.12%34.95M
-61.35%24.77M
-82.40%8.02M
-57.61%8.67M
-76.34%8.88M
-61.35%24.77M
-38.63%64.08M
-42.37%45.57M
-72.52%20.45M
Current changes in cash
-10,140.00%-21.5M
138.37%6.1M
125.90%10.18M
229.45%26.93M
-102.58%-649K
98.77%-210K
40.16%-15.89M
2.51%-39.31M
-38.78%-20.8M
438.38%25.12M
End cash position
125.43%19.54M
362.31%41.04M
41.12%34.95M
41.12%34.95M
-82.40%8.02M
-57.61%8.67M
-76.34%8.88M
-61.35%24.77M
-61.35%24.77M
-42.37%45.57M
Free cash flow
173.85%2.58M
-51.98%859K
-103.37%-368K
-51.93%1.48M
-104.61%-142K
-760.19%-3.5M
-57.70%1.79M
-24.58%10.92M
259.79%3.09M
-64.11%3.08M
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
--
--
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 198.90%2.61M-65.03%855K-80.85%2.32M-43.20%1.86M-82.92%650K-479.68%-2.64M-43.60%2.45M-29.04%12.11M222.27%3.27M-58.10%3.81M
Net income from continuing operations 1.69%1.02M-22.87%941K-37.01%3.59M-49.28%638K-31.07%732K-41.45%1M-26.99%1.22M17.05%5.7M17.79%1.26M-16.84%1.06M
Operating gains losses 100.78%1K-357.14%-96K39.25%-291K-14.08%-81K36.17%-60K7.86%-129K87.93%-21K75.83%-479K69.79%-71K71.25%-94K
Depreciation and amortization -27.08%315K25.00%280K47.07%1.28M105.33%308K9.03%314K102.82%432K2.75%224K13.89%869K-25.74%150K48.45%288K
Deferred tax -120.56%-59K-100.68%-295K170.11%122K167.87%150K-146.03%-168K5,640.00%287K54.49%-147K46.30%-174K21.91%-221K254.01%365K
Other non cashItems 282.97%1.95M72.59%-273K-144.20%-1.92M-88.72%134K-99.13%10K-643.36%-1.06M-146.56%-996K-66.91%4.33M187.93%1.19M-86.99%1.15M
Change in working capital 86.07%-414K-97.37%42K-206.16%-638K-10.30%601K-81.99%136K-141.23%-2.97M291.42%1.6M104.42%601K-45.75%670K216.15%755K
-Change in receivables -208.33%-26K111.97%14K102.25%15K192.35%157K79.24%-49K117.91%24K7.14%-117K-1,807.69%-666K-347.37%-170K-636.36%-236K
-Change in other current assets 161.70%29K-237.42%-224K311.43%74K-441.18%-58K128.57%16K70.99%-47K58.25%163K-109.56%-35K-98.14%17K100.88%7K
-Change in other current liabilities 85.86%-417K-83.75%252K-155.84%-727K-39.00%502K-82.83%169K-215.06%-2.95M259.86%1.55M1,272.97%1.3M129.25%823K884.00%984K
Cash from discontinued operating activities
Operating cash flow 198.29%2.59M-64.38%871K-80.85%2.32M-43.20%1.86M-82.92%650K-479.68%-2.64M-43.60%2.45M-29.04%12.11M222.27%3.27M-58.10%3.81M
Investing cash flow
Cash flow from continuing investing activities -135.31%-3.64M191.60%16.62M129.90%34.48M1,229.41%31.83M112.30%10.48M187.26%10.32M12.03%-18.15M-46.35%-115.31M107.67%2.39M-1,101.27%-85.25M
Net investment purchase and sale -96.30%229K-547.62%-544K410.59%18.42M-30.80%4.16M170.71%8.16M313.43%6.19M95.57%-84K77.52%-5.93M200.92%6.01M-98.52%-11.54M
Net proceeds payment for loan -182.17%-3.96M197.07%17.13M118.99%18.4M940.37%28.06M105.12%3.16M136.61%4.82M5.27%-17.64M-91.35%-96.88M86.68%-3.34M-5,448.79%-61.76M
Net PPE purchase and sale 99.31%-6K102.44%16K-127.43%-2.69M-103.26%-374K-8.94%-792K-426.83%-864K-518.87%-656K54.12%-1.18M-17.20%-184K26.12%-727K
Net business purchase and sale ----------0--0---------------10.24M--0----
Net other investing changes -48.31%92K-90.34%23K132.37%348K80.43%-18K---50K--178K--238K-234.54%-1.08M-513.33%-92K----
Cash from discontinued investing activities
Investing cash flow -135.31%-3.64M191.60%16.62M129.90%34.48M1,229.41%31.83M112.30%10.48M187.26%10.32M12.03%-18.15M-46.35%-115.31M107.67%2.39M-1,101.27%-85.25M
Financing cash flow
Cash flow from continuing financing activities -158.99%-20.45M-5,994.12%-11.4M-141.66%-26.62M74.48%-6.76M-111.05%-11.78M-32.71%-7.9M98.18%-187K198.48%63.9M-274.19%-26.47M3,875.01%106.57M
Increase decrease in deposit -104.33%-18.02M-94.54%-9.45M-135.73%-23.35M71.35%-4.87M-105.00%-4.81M-58.89%-8.82M41.00%-4.86M157.41%65.37M-212.51%-17.01M1,947.76%96.16M
Net issuance payments of debt -193.75%-1.5M-130.61%-1.5M-128.87%-1.55M84.54%-1.5M-160.17%-6.55M737.70%1.6M22.78%4.9M6,415.29%5.37M-1,892.98%-9.7M1,635.40%10.89M
Net commonstock issuance -406.67%-152K---182K91.83%-487K---448K-800.00%-9K57.14%-30K--0-32.98%-5.96M--099.94%-1K
Cash dividends paid -3.83%-407K-4.34%-409K-2.55%-1.57M-7.40%-392K-2.34%-393K-4.81%-392K3.69%-392K-13.08%-1.53M-7.35%-365K-12.28%-384K
Proceeds from stock option exercised by employees --0--19K14.02%374K218.92%354K5.26%20K--0--0-82.64%328K--111K-97.05%19K
Net other financing activities -45.91%-375K-23.60%123K-110.22%-33K-78.96%105K62.83%-42K-29.15%-257K18.38%161K617.78%323K239.46%499K-1,041.67%-113K
Cash from discontinued financing activities
Financing cash flow -158.99%-20.45M-5,994.12%-11.4M-141.66%-26.62M74.48%-6.76M-111.05%-11.78M-32.71%-7.9M98.18%-187K198.48%63.9M-274.19%-26.47M3,875.01%106.57M
Net cash flow
Beginning cash position 362.31%41.04M41.12%34.95M-61.35%24.77M-82.40%8.02M-57.61%8.67M-76.34%8.88M-61.35%24.77M-38.63%64.08M-42.37%45.57M-72.52%20.45M
Current changes in cash -10,140.00%-21.5M138.37%6.1M125.90%10.18M229.45%26.93M-102.58%-649K98.77%-210K40.16%-15.89M2.51%-39.31M-38.78%-20.8M438.38%25.12M
End cash position 125.43%19.54M362.31%41.04M41.12%34.95M41.12%34.95M-82.40%8.02M-57.61%8.67M-76.34%8.88M-61.35%24.77M-61.35%24.77M-42.37%45.57M
Free cash flow 173.85%2.58M-51.98%859K-103.37%-368K-51.93%1.48M-104.61%-142K-760.19%-3.5M-57.70%1.79M-24.58%10.92M259.79%3.09M-64.11%3.08M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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