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Income Statement
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Cash Flow Statement

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PVFC Cash Flow Statement

Click line-items for a historical chart and %
Net income (loss) 9.06M
Amortization of premium on mortgage-backed securities 69.24K
Depreciation and amortization 718.86K
Provision for loan losses 2.05M
Gain on the sale of loans receivable held for sale 19.24K
Gain on the sale of SBA loans
Impairment of mortgage loan servicing rights
Provision for real estate owned losses 1.05M
Accretion of deferred loan origination fees, net -202.57K
(Gain) loss on disposal of real estate owned, net 166.67K
Market adjustment for loans held for sale -13.68M
Change in fair value of mortgage banking derivatives 964.24K
Stock compensation 635.03K
Change in accrued interest on securities, loans, and borrowings, net
Proceeds from loans receivable held for sale 431.67M
Origination of loans receivable held for sale, net -425.1M
Earnings on cash surrender value of bank-owned life insurance
Net change in other assets and other liabilities -374.86K
Net cash from operating activities 4.59M
Loan repayments and originations, net
Principal repayments on mortgage-backed securities available for sale 0
Purchase of securities available for sale -24.65M
Calls of securities available for sale
Additions to office properties and equipment, net -432.92K
Proceeds from sale of real estate owned 4.01M
Net cash from investing activities -7.34M
Net increase (decrease) in demand deposits, NOW, and passbook savings 32.44M
Net increase (decrease) in time deposits -57.8M
Repayment of note payable -106.67K
Net increase (decrease) in advances from borrowers for taxes and insurance
Net cash from financing activities -16.78M
Net increase in cash and cash equivalents -19.53M
Cash and cash equivalents at beginning of period 120.11M
Cash and cash equivalents at end of period 100.58M
Cash payments of interest 5.58M
Transfer of loans to real estate owned