Skip to content

Free cash flow at other companies

National Bankshares logo
National BanksharesNKSH
$3.07M+91.6%
First National Corp. logo
First National Corp.FXNC
$5.92M+94.3%
LCNB logo
LCNBLCNB
$2.77M+29.1%
C&F Financial logo
C&F FinancialCFFI
-$7.89M-368%
Farmers National Banc Corp logo
Farmers National Banc CorpFMNB
$7.07M-41.9%
First Community Corporation logo
First Community CorporationFCCO
-$2.49M-140%

Other financials

Income statement

See full
Revenue$14.4M+2.4%
Net income$5.3M+17.2%
EPS (diluted)$0.97+16.9%

Balance sheet

See full
Total debt$25.8M+3.2%
Total equity$186.5M+11.8%
Total assets$1.6B+0.9%

Cash flow

See full
Operating cash flow$7.2M+246%
CapEx$207.0K-20.1%

Valuation

See full
Market cap$240.65M+20.8%
P/E12×+0.9×
P/S4.2×+0.6×

Profitability

See full
Net margin34.6%+2.1pp
FCF margin44.8%+20.7pp

Returns & leverage

See full
Return on equity11.3%+0.2pp
Debt / equity0.1×0.0×

Where this comes from

Calculated from Virginia National Bankshares Corporation’s reported figures.

The official record: Virginia National Bankshares Corporation’s 10-Q, filed May 12, 2026, on SEC EDGAR. View the filing →

Ask your AI about Virginia National Bankshares Corporation's free cash flow.

Connect your AI assistant and compare it to peers, right in your chat.

Connect your AI
Harbor at dusk
Claude

Questions, answered.

What is Virginia National Bankshares Corporation's free cash flow?
Virginia National Bankshares Corporation (VABK) reported free cash flow of $7.04M in Q1 2026.
How has Virginia National Bankshares Corporation's free cash flow changed year-over-year?
Virginia National Bankshares Corporation's free cash flow increased by 283.9% year-over-year, from $1.83M to $7.04M.
What is the long-term trend for Virginia National Bankshares Corporation's free cash flow?
Over 4 years (2021 to 2025), Virginia National Bankshares Corporation's free cash flow has grown at a 15.2% compound annual growth rate (CAGR), from $11.77M to $20.75M.
What does free cash flow mean?
Free cash flow represents the cash generated by a company after accounting for cash outflows to support operations and maintain or expand its capital asset base. It serves as a critical indicator of a company's ability to fund organic growth, pay down debt, or return capital to shareholders without relying on external financing.