bf/NYSE:NYCB_icon.jpeg

COM:MYNYCB

Flagstar Bank

  • Stock

USD

Last Close

11.50

25/10 20:00

Market Cap

3.66B

Beta: -

Volume Today

18.51M

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
475.55M
-
485.40M
2.07%
-47.16M
109.71%
495.40M
1,150.56%
466.20M
5.89%
422.42M
9.39%
395.04M
6.48%
511.11M
29.38%
596M
16.61%
650M
9.06%
-84M
112.92%
depreciation and amortization
43.88M
-
36.09M
17.75%
36.84M
2.08%
35.20M
4.45%
33.01M
6.22%
32.32M
2.08%
27.10M
16.17%
23.87M
11.90%
21M
12.03%
23M
9.52%
165M
617.39%
deferred income tax
25.18M
-
26.15M
3.87%
-31.29M
219.65%
44.75M
243.01%
21.44M
52.08%
23.20M
8.17%
100.81M
334.59%
219.34M
117.57%
-13M
105.93%
-3M
76.92%
-187M
6,133.33%
stock based compensation
22.25M
-
27.45M
23.41%
30.20M
10.02%
32.66M
8.13%
36.03M
10.31%
36.26M
0.64%
32.05M
11.62%
29.40M
8.26%
31M
5.44%
29M
6.45%
47M
62.07%
change in working capital
-42.65M
-
89.56M
309.99%
-181.47M
302.64%
322.45M
277.69%
475.52M
47.47%
-23.15M
104.87%
-45.19M
95.23%
-402.43M
790.57%
-290M
27.94%
248M
185.52%
-976M
493.55%
accounts receivables
inventory
accounts payables
other working capital
-42.65M
-
89.56M
309.99%
-181.47M
302.64%
322.45M
277.69%
475.52M
47.47%
-23.15M
104.87%
-45.19M
95.23%
-402.43M
790.57%
other non cash items
851.73M
-
57.77M
93.22%
-227.55M
493.89%
-174.81M
23.18%
294.51M
268.47%
49.30M
83.26%
-62K
100.13%
-47.09M
75,859.68%
-55M
16.79%
79M
243.64%
1.27B
1,502.53%
net cash provided by operating activities
1.38B
-
722.42M
47.50%
-420.43M
158.20%
755.65M
279.74%
1.33B
75.57%
540.36M
59.27%
509.75M
5.66%
334.20M
34.44%
290M
13.22%
1.03B
253.79%
231M
77.49%
investments in property plant and equipment
-37.24M
-
-73.50M
97.34%
-34.80M
52.65%
-84.18M
141.88%
-27.78M
67.00%
-9.85M
64.56%
-138.12M
1,302.65%
-1.31M
99.05%
-4M
205.81%
-3M
25%
-66M
2,100%
acquisitions net
-2.02B
-
-3.00B
48.52%
-2.15B
28.47%
-1.15B
46.45%
713.53M
162.00%
-1.79B
351.47%
9.30M
100.52%
1.31M
85.93%
4M
205.81%
331M
8,175%
24.90B
7,422.96%
purchases of investments
-4.58B
-
-376.34M
91.79%
-338.05M
10.17%
-492.61M
45.72%
-1.18B
138.74%
-3.29B
179.59%
-2.50B
23.87%
-2.51B
0.42%
-1.80B
28.56%
-2.24B
24.83%
-3.06B
36.31%
sales maturities of investments
1.56B
-
1.26B
19.26%
1.27B
0.89%
2.87B
125.62%
1.56B
45.52%
1.10B
29.94%
2.32B
111.95%
2.55B
9.55%
1.73B
32.12%
960M
44.44%
3.27B
240.63%
other investing activites
-92.25M
-
46.06M
149.94%
-148.64M
422.70%
73.04M
149.14%
-12.88M
117.64%
-24.47M
89.90%
-1.75B
7,054.57%
-1.06B
39.61%
-2.69B
154.84%
-5.37B
99.29%
-4.34B
19.09%
net cash used for investing activites
-5.17B
-
-2.15B
58.52%
-1.40B
34.89%
1.22B
187.19%
1.06B
12.84%
-4.02B
478.67%
-2.06B
48.79%
-1.03B
50.20%
-2.76B
169.37%
-6.32B
128.93%
20.70B
427.46%
debt repayment
-791.29M
-
-110.61M
86.02%
-10.49B
9,383.06%
-3.30B
-
-4.37B
32.53%
-5.54B
26.60%
-6.55B
18.30%
-2.54B
61.16%
-13.96B
448.74%
-74M
99.47%
common stock issued
3.25B
-
1.90B
41.54%
629.68M
66.86%
502.84M
-
2.01B
-
-10.74B
634.23%
common stock repurchased
-5.32M
-
-7.28M
36.92%
-7.02M
3.61%
-8.68M
23.60%
-18.46M
112.78%
-163.25M
784.20%
-75.22M
53.92%
-59.02M
21.53%
-16M
72.89%
-24M
50%
-12M
50%
dividends paid
-440.31M
-
-442.20M
0.43%
-453.98M
2.66%
-330.81M
27.13%
-356.77M
7.85%
-365.89M
2.56%
-350.22M
4.28%
-348.44M
0.51%
-349M
0.16%
-350M
0.29%
-519M
48.29%
other financing activites
1.69M
-
3.23M
90.60%
12.11B
375,469.30%
-1.61B
113.33%
2.75B
270.63%
7.33B
166.12%
6.78B
7.52%
8.85B
30.63%
5.64B
36.26%
17.49B
209.92%
-66M
100.38%
net cash used provided by financing activities
2.01B
-
1.34B
33.34%
1.79B
33.36%
-1.95B
209.07%
-418.13M
78.60%
2.43B
680.42%
816.07M
66.37%
1.90B
132.48%
2.73B
44.16%
5.17B
88.96%
-11.41B
320.76%
effect of forex changes on cash
-4.60B
-
net change in cash
-1.78B
-
-80.40M
95.49%
-26.48M
67.07%
20.18M
176.20%
1.97B
9,665.66%
-1.05B
153.45%
-733.09M
30.40%
1.21B
264.52%
263M
78.19%
-129M
149.05%
9.53B
7,485.27%
cash at beginning of period
2.43B
-
644.55M
73.45%
564.15M
12.47%
537.67M
4.69%
557.85M
3.75%
2.53B
353.20%
1.47B
41.66%
741.87M
49.70%
1.95B
162.58%
2.21B
13.50%
2.08B
5.83%
cash at end of period
644.55M
-
564.15M
12.47%
537.67M
4.69%
557.85M
3.75%
2.53B
353.20%
1.47B
41.66%
741.87M
49.70%
1.95B
162.57%
2.21B
13.51%
2.08B
5.83%
11.61B
457.59%
operating cash flow
1.38B
-
722.42M
47.50%
-420.43M
158.20%
755.65M
279.74%
1.33B
75.57%
540.36M
59.27%
509.75M
5.66%
334.20M
34.44%
290M
13.22%
1.03B
253.79%
231M
77.49%
capital expenditure
-37.24M
-
-73.50M
97.34%
-34.80M
52.65%
-84.18M
141.88%
-27.78M
67.00%
-9.85M
64.56%
-138.12M
1,302.65%
-1.31M
99.05%
-4M
205.81%
-3M
25%
-66M
2,100%
free cash flow
1.34B
-
648.92M
51.53%
-455.23M
170.15%
671.47M
247.50%
1.30B
93.44%
530.51M
59.16%
371.63M
29.95%
332.89M
10.43%
286M
14.09%
1.02B
257.69%
165M
83.87%

All numbers in USD (except ratios and percentages)