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NSTS Bancorp, Inc. NSTS Cash Flow Statement

FY'25FY'24FY'23FY'22
-$789K+80.1%-$3.96M-14,756%$27K+149%
$302K+3.1%$293K+10.2%$266K-0.4%$267K-0.4%
$678K-11.6%$767K+47.8%$519K
$1.13M+846%-$152K-115%$990K+1,447%$64K+117%
-$192K$176K+177%-$230K-900%
$313K
$70.9M+55.5%$45.58M+1,119%$3.74M-56.2%$8.54M-55.8%
$4.05M-57.0%$9.43M
$104K-67.4%$319K-38.2%$516K+140%$215K+51.4%
$5.94M-67.3%$18.14M+1.8%$17.82M+1,339%$1.24M
-$10.49M-28.5%-$8.16M-133%$24.95M+156%-$44.48M
-$8.68M-140%$21.55M-$106.91M-208%
-$13.72M-164%$21.59M-$66.98M-167%
-$19.44M$18.24M+117%-$108.46M-221%
$3.56M+9.2%$3.26M+122%$1.46M+91.1%$766K-19.2%
$233K+5.9%$220K+14.6%$192K+7.9%$178K-1.7%
$302K+3.1%$293K+10.2%$266K-0.4%$267K-0.4%
$245K+14.5%$214K+7.5%$199K-20.7%$251K
$1.57M+25.7%$1.25M+3,791%$32K-69.8%$106K-74.1%
$313K
$70.9M+55.5%$45.58M+1,119%$3.74M-56.2%$8.54M-55.8%
$77.06M+41.7%$54.37M+1,504%$3.39M-61.3%$8.75M-59.5%
-$192K$176K+177%-$230K
$5.94M-67.3%$18.14M+1.8%$17.82M+1,339%$1.24M
$4.3M+5.4%$4.08M-39.1%$6.71M+228%
-$8.68M-140%$21.55M-$106.91M-208%
-$5.82M-5.1%-$5.54M+32.5%-$8.21M+49.2%-$16.17M+7.9%
$249K-$1.01M-111%
$461K-10.5%$515K-4.3%$538K-43.8%$958K-27.6%
$7.83M-6.6%$8.38M$0
$3.95M-56.7%$9.11M+10,822%-$85K
$3.95M-56.7%$9.11M+10,822%-$85K

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Questions, answered.

How much cash does NSTS Bancorp, Inc. generate?
NSTS Bancorp, Inc. (NSTS) generated $12.3M in operating cash flow over the trailing twelve months.
What is NSTS Bancorp, Inc.'s free cash flow?
After $66.0K of capital expenditures, NSTS Bancorp, Inc.'s free cash flow was $12.2M over the trailing twelve months, up 93.3% year over year.
Where does NSTS Bancorp, Inc.'s cash flow data come from?
Every line is extracted from NSTS Bancorp, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.