Broadway Financial BYFC Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Before Tax
Other Comprehensive Income Unrealized Holding Gain Loss On Securities Arising During Period Before Tax at other companies
Other financials
Where this comes from
Reported directly by Broadway Financial in its filing.
Tagged under the XBRL concept us-gaap:OtherComprehensiveIncomeUnrealizedHoldingGainLossOnSecuritiesArisingDuringPeriodBeforeTax.
The official record: Broadway Financial’s 10-Q, filed May 15, 2026, on SEC EDGAR. View the filing →
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Questions, answered.
- What is Broadway Financial's other comprehensive income unrealized holding gain loss on securities arising during period before tax?
- Broadway Financial (BYFC) reported other comprehensive income unrealized holding gain loss on securities arising during period before tax of -$1.51M in Q1 2026.
- How has Broadway Financial's other comprehensive income unrealized holding gain loss on securities arising during period before tax changed year-over-year?
- Broadway Financial's other comprehensive income unrealized holding gain loss on securities arising during period before tax decreased by 162.3% year-over-year, from $2.42M to -$1.51M.
- What is the long-term trend for Broadway Financial's other comprehensive income unrealized holding gain loss on securities arising during period before tax?
- Over 4 years (2021 to 2025), Broadway Financial's other comprehensive income unrealized holding gain loss on securities arising during period before tax has grown at a 64.2% compound annual growth rate (CAGR), from -$998K to $7.26M.
- What does other comprehensive income unrealized holding gain loss on securities arising during period before tax mean?
- This metric reflects the change in the fair value of investment securities held by the institution that have not yet been sold. It captures market-driven fluctuations in the value of the bank's investment portfolio before tax considerations. Investors use this to understand the potential impact of market volatility on the bank's equity and capital position.