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- Historical

Data

- Dividends (1.6% Yield)

Financials

Income Statement
Balance Sheet
Cash Flow Statement

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SFDL Cash Flow Statement

Click line-items for a historical chart and %
Net Income 5.06M
Depreciation And Amortization Expense 1.05M
Amortization of Intangible Assets
Stock Option Compensation Expense 5.98K
Discount Accretion And Premium Amortization 4.04M
Provisions For Losses On Loans And Real Estate 0
Gain On Sale Of Investments Available For Sale
Gain On Sale of Mortgage-Backed Securities Available For Sale -55.96K
Gain On Sale Of Loans -657.47K
Loss (Gain) On Sale Of Real Estate -841.73K
Amortization Of Deferred Fees On Loans 88.05K
Mandatorily Redeemable Financial Instrument Valuation Adjustment
Income From Bank Owned Life Insurance -396K
Proceeds From Sale Of Loans Held For Sale 23.9M
Origination Of Loans For Sale -24.92M
Loans 38.34K
Mortgage-Backed Securities -14.88K
Investments 90.71K
Increase In Advance Payments By Borrowers
Other, Net 2.24M
Net Cash Provided (Used) By Operating Activities 9.34M
Principal Repayments On Mortgage-Backed Securities Available For Sale 23.94M
Principal Repayments On Mortgage-Backed Securities Held To Maturity 3.5M
Purchase Of Investment Securities Available For Sale -30.23M
Purchase Of Mortgage-Backed Securities Available For Sale -37.79M
Purchase of Investment Securities Held To Maturity
Purchase Of Mortgage-Backed Securities Held To Maturity -1.51M
Maturities Of Investment Securities Available For Sale 5.23M
Maturities of Investment Securities Held To Maturity
Proceeds From Sale of Investment Securities Available For Sale 18.41M
Proceeds From Sale of Mortgage-Backed Securities Available For Sale 3.08M
Purchase Of FHLB Stock
Redemption Of FHLB Stock 4.55M
Decrease In Loans To Customers
Proceeds From Sale Of Repossessed Assets 3.16M
Purchase And Improvement Of Premises And Equipment -1.6M
Net Cash Provided By Investing Activities -21.08M
Increase (Decrease) In Deposit Accounts -1.8M
Proceeds From FHLB Advances 251.76M
Repayment Of FHLB Advances -240.4M
Net Proceeds (Repayments) Of Other Borrowings
Dividends To Preferred Shareholders -330K
Dividends To Common Shareholders -706.91K
Net Cash Provided (Used) By Financing Activities 14.71M
Increase In Cash And Cash Equivalents 2.97M
Cash And Cash Equivalents At Beginning Of Period
Cash And Cash Equivalents At End Of Period
Cash Paid During The Period For Interest 2.57M
Cash Paid During The Period For Income Taxes 572.24K
Additions To Repossessed Acquired Through Foreclosure
Change In Unrealized Gain or Loss On Securities Available For Sale, Net of Taxes