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FRAF Franklin Financial Services

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  • 38.910
  • -0.290-0.74%
Close Apr 29 16:00 ET
  • 39.600
  • +0.690+1.77%
Post 16:23 ET
172.78MMarket Cap15.50P/E (TTM)

Franklin Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-18.11%21.76M
-28.75%4.22M
7.47%7.8M
-57.09%2.43M
-5.35%7.3M
5.23%26.57M
-21.01%5.92M
-14.22%7.26M
17.11%5.67M
73.57%7.72M
Net income from continuing operations
-18.38%11.1M
-85.97%487K
9.30%4.22M
1.92%3.03M
2.10%3.36M
-8.97%13.6M
-6.62%3.47M
-16.67%3.86M
-16.83%2.98M
9.30%3.29M
Operating gains losses
302.39%3.7M
8,947.83%4.07M
-448.57%-192K
-124.84%-117K
-111.13%-59K
231.99%920K
-109.09%-46K
79.65%-35K
295.44%471K
302.29%530K
Depreciation and amortization
3.67%2.09M
2.55%523K
1.74%527K
-1.38%502K
12.32%538K
40.29%2.02M
31.44%510K
2.57%518K
83.75%509K
79.40%479K
Deferred tax
-141.49%-473K
----
----
----
----
-2.73%1.14M
----
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----
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Other non cashItems
-55.36%1.24M
-20.30%962K
-98.01%-897K
-58.51%334K
-30.83%837K
-63.21%2.77M
-61.34%1.21M
-146.04%-453K
-70.83%805K
83.33%1.21M
Change in working capital
-42.24%1.69M
-66.56%-2.04M
58.86%3.79M
-929.72%-2.07M
32.02%2M
1,036.42%2.93M
26.41%-1.22M
2.89%2.39M
114.81%249K
113.80%1.52M
-Change in other current assets
301.69%1.08M
24.99%-1.57M
17,830.00%1.77M
-93.39%115K
553.57%762K
32.83%-534K
15.24%-2.1M
-100.93%-10K
46.67%1.74M
71.08%-168K
-Change in other current liabilities
-72.58%1.07M
-135.09%-347K
-14.94%2.14M
-49.93%-2.07M
-24.53%1.35M
326.25%3.91M
7.27%989K
85.10%2.51M
49.98%-1.38M
28.23%1.79M
-Change in other working capital
-2.01%-457K
-1.74%-117K
-2.65%-116K
0.00%-112K
-3.70%-112K
-2.75%-448K
-4.55%-115K
-3.67%-113K
-2.75%-112K
0.00%-108K
Cash from discontinued operating activities
Operating cash flow
-18.11%21.76M
-28.75%4.22M
7.47%7.8M
-57.09%2.43M
-5.35%7.3M
5.23%26.57M
-21.01%5.92M
-14.22%7.26M
17.11%5.67M
73.57%7.72M
Investing cash flow
Cash flow from continuing investing activities
-3.42%-184.37M
-90.18%-87.84M
48.55%-46.98M
43.33%-31.44M
-223.09%-18.11M
-87.54%-178.27M
-2,044.63%-46.19M
-354.94%-91.32M
8.38%-55.48M
187.59%14.72M
Proceeds payment in interest bearing deposits in bank
-38.94%4.73M
-83.32%250K
-80.40%245K
299.80%2M
-50.20%2.24M
322.39%7.75M
200.00%1.5M
--1.25M
128.78%499K
1,899.20%4.5M
Net investment purchase and sale
-276.18%-39.04M
-2,174.73%-55.58M
100.08%24K
-32.75%8.04M
-77.05%8.49M
183.11%22.16M
-65.41%2.68M
-720.45%-29.45M
158.24%11.95M
459.12%36.98M
Net proceeds payment for loan
31.22%-141.65M
35.30%-32.52M
22.11%-47.71M
39.79%-40.8M
22.65%-20.62M
-291.92%-205.94M
-1,789.55%-50.26M
-335.74%-61.26M
-100.19%-67.76M
-1,247.52%-26.65M
Capital expenditure
-414.43%-2.57M
-1,815.00%-383K
-192.03%-733K
-404.27%-590K
-675.68%-861K
95.92%-499K
98.35%-20K
89.64%-251K
97.29%-117K
97.39%-111K
Net other investing changes
-237.49%-5.84M
593.83%400K
174.94%1.2M
---80K
---7.36M
-1,061.74%-1.73M
---81K
---1.6M
----
----
Cash from discontinued investing activities
Investing cash flow
-3.42%-184.37M
-90.18%-87.84M
48.55%-46.98M
43.33%-31.44M
-223.09%-18.11M
-87.54%-178.27M
-2,044.63%-46.19M
-354.94%-91.32M
8.38%-55.48M
187.59%14.72M
Financing cash flow
Cash flow from continuing financing activities
212.06%343.08M
582.52%50.91M
2.78%95.77M
-6.83%26.17M
22,266.41%170.24M
371.87%109.94M
93.20%-10.55M
296.52%93.18M
-65.02%28.08M
-107.04%-768K
Increase decrease in deposit
2,161.39%277.67M
413.07%92.16M
152.46%137.03M
146.22%27.15M
143.24%21.33M
59.07%-13.47M
80.83%-29.44M
110.42%54.28M
-86.68%11.03M
-510.23%-49.34M
Net issuance payments of debt
-46.15%70M
-300.00%-40M
-200.00%-40M
--0
200.00%150M
--130M
--20M
--40M
--20M
--50M
Net commonstock issuance
188.74%922K
-73.88%70K
-50.36%137K
127.53%425K
843.59%290K
45.83%-1.04M
236.73%268K
130.33%276K
-39.60%-1.54M
-113.27%-39K
Cash dividends paid
-0.61%-5.63M
-1.07%-1.41M
-1.36%-1.41M
-0.43%-1.41M
0.43%-1.4M
1.11%-5.6M
0.50%-1.4M
1.00%-1.39M
1.82%-1.4M
1.13%-1.41M
Proceeds from stock option exercised by employees
159.57%122K
592.86%97K
-37.50%10K
-33.33%2K
-7.14%13K
-2.08%47K
180.00%14K
-15.79%16K
-72.73%3K
7.69%14K
Cash from discontinued financing activities
Financing cash flow
212.06%343.08M
582.52%50.91M
2.78%95.77M
-6.83%26.17M
22,266.41%170.24M
371.87%109.94M
93.20%-10.55M
296.52%93.18M
-65.02%28.08M
-107.04%-768K
Net cash flow
Beginning cash position
-64.34%23.14M
219.55%236.32M
177.22%179.73M
110.91%182.57M
-64.34%23.14M
-62.95%64.9M
-64.81%73.95M
-67.30%64.83M
-50.17%86.56M
-62.95%64.9M
Current changes in cash
532.18%180.47M
35.64%-32.7M
520.44%56.59M
86.92%-2.84M
635.92%159.43M
62.12%-41.76M
65.02%-50.81M
-23.27%9.12M
-188.48%-21.73M
1,604.44%21.66M
End cash position
779.92%203.61M
779.92%203.61M
219.55%236.32M
177.22%179.73M
110.91%182.57M
-64.34%23.14M
-64.34%23.14M
-64.81%73.95M
-67.30%64.83M
-50.17%86.56M
Free cash flow
-26.39%19.19M
-35.00%3.84M
0.86%7.07M
-66.82%1.84M
-15.29%6.44M
100.11%26.07M
-6.11%5.9M
16.05%7.01M
973.69%5.55M
4,011.35%7.61M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -18.11%21.76M-28.75%4.22M7.47%7.8M-57.09%2.43M-5.35%7.3M5.23%26.57M-21.01%5.92M-14.22%7.26M17.11%5.67M73.57%7.72M
Net income from continuing operations -18.38%11.1M-85.97%487K9.30%4.22M1.92%3.03M2.10%3.36M-8.97%13.6M-6.62%3.47M-16.67%3.86M-16.83%2.98M9.30%3.29M
Operating gains losses 302.39%3.7M8,947.83%4.07M-448.57%-192K-124.84%-117K-111.13%-59K231.99%920K-109.09%-46K79.65%-35K295.44%471K302.29%530K
Depreciation and amortization 3.67%2.09M2.55%523K1.74%527K-1.38%502K12.32%538K40.29%2.02M31.44%510K2.57%518K83.75%509K79.40%479K
Deferred tax -141.49%-473K-----------------2.73%1.14M----------------
Other non cashItems -55.36%1.24M-20.30%962K-98.01%-897K-58.51%334K-30.83%837K-63.21%2.77M-61.34%1.21M-146.04%-453K-70.83%805K83.33%1.21M
Change in working capital -42.24%1.69M-66.56%-2.04M58.86%3.79M-929.72%-2.07M32.02%2M1,036.42%2.93M26.41%-1.22M2.89%2.39M114.81%249K113.80%1.52M
-Change in other current assets 301.69%1.08M24.99%-1.57M17,830.00%1.77M-93.39%115K553.57%762K32.83%-534K15.24%-2.1M-100.93%-10K46.67%1.74M71.08%-168K
-Change in other current liabilities -72.58%1.07M-135.09%-347K-14.94%2.14M-49.93%-2.07M-24.53%1.35M326.25%3.91M7.27%989K85.10%2.51M49.98%-1.38M28.23%1.79M
-Change in other working capital -2.01%-457K-1.74%-117K-2.65%-116K0.00%-112K-3.70%-112K-2.75%-448K-4.55%-115K-3.67%-113K-2.75%-112K0.00%-108K
Cash from discontinued operating activities
Operating cash flow -18.11%21.76M-28.75%4.22M7.47%7.8M-57.09%2.43M-5.35%7.3M5.23%26.57M-21.01%5.92M-14.22%7.26M17.11%5.67M73.57%7.72M
Investing cash flow
Cash flow from continuing investing activities -3.42%-184.37M-90.18%-87.84M48.55%-46.98M43.33%-31.44M-223.09%-18.11M-87.54%-178.27M-2,044.63%-46.19M-354.94%-91.32M8.38%-55.48M187.59%14.72M
Proceeds payment in interest bearing deposits in bank -38.94%4.73M-83.32%250K-80.40%245K299.80%2M-50.20%2.24M322.39%7.75M200.00%1.5M--1.25M128.78%499K1,899.20%4.5M
Net investment purchase and sale -276.18%-39.04M-2,174.73%-55.58M100.08%24K-32.75%8.04M-77.05%8.49M183.11%22.16M-65.41%2.68M-720.45%-29.45M158.24%11.95M459.12%36.98M
Net proceeds payment for loan 31.22%-141.65M35.30%-32.52M22.11%-47.71M39.79%-40.8M22.65%-20.62M-291.92%-205.94M-1,789.55%-50.26M-335.74%-61.26M-100.19%-67.76M-1,247.52%-26.65M
Capital expenditure -414.43%-2.57M-1,815.00%-383K-192.03%-733K-404.27%-590K-675.68%-861K95.92%-499K98.35%-20K89.64%-251K97.29%-117K97.39%-111K
Net other investing changes -237.49%-5.84M593.83%400K174.94%1.2M---80K---7.36M-1,061.74%-1.73M---81K---1.6M--------
Cash from discontinued investing activities
Investing cash flow -3.42%-184.37M-90.18%-87.84M48.55%-46.98M43.33%-31.44M-223.09%-18.11M-87.54%-178.27M-2,044.63%-46.19M-354.94%-91.32M8.38%-55.48M187.59%14.72M
Financing cash flow
Cash flow from continuing financing activities 212.06%343.08M582.52%50.91M2.78%95.77M-6.83%26.17M22,266.41%170.24M371.87%109.94M93.20%-10.55M296.52%93.18M-65.02%28.08M-107.04%-768K
Increase decrease in deposit 2,161.39%277.67M413.07%92.16M152.46%137.03M146.22%27.15M143.24%21.33M59.07%-13.47M80.83%-29.44M110.42%54.28M-86.68%11.03M-510.23%-49.34M
Net issuance payments of debt -46.15%70M-300.00%-40M-200.00%-40M--0200.00%150M--130M--20M--40M--20M--50M
Net commonstock issuance 188.74%922K-73.88%70K-50.36%137K127.53%425K843.59%290K45.83%-1.04M236.73%268K130.33%276K-39.60%-1.54M-113.27%-39K
Cash dividends paid -0.61%-5.63M-1.07%-1.41M-1.36%-1.41M-0.43%-1.41M0.43%-1.4M1.11%-5.6M0.50%-1.4M1.00%-1.39M1.82%-1.4M1.13%-1.41M
Proceeds from stock option exercised by employees 159.57%122K592.86%97K-37.50%10K-33.33%2K-7.14%13K-2.08%47K180.00%14K-15.79%16K-72.73%3K7.69%14K
Cash from discontinued financing activities
Financing cash flow 212.06%343.08M582.52%50.91M2.78%95.77M-6.83%26.17M22,266.41%170.24M371.87%109.94M93.20%-10.55M296.52%93.18M-65.02%28.08M-107.04%-768K
Net cash flow
Beginning cash position -64.34%23.14M219.55%236.32M177.22%179.73M110.91%182.57M-64.34%23.14M-62.95%64.9M-64.81%73.95M-67.30%64.83M-50.17%86.56M-62.95%64.9M
Current changes in cash 532.18%180.47M35.64%-32.7M520.44%56.59M86.92%-2.84M635.92%159.43M62.12%-41.76M65.02%-50.81M-23.27%9.12M-188.48%-21.73M1,604.44%21.66M
End cash position 779.92%203.61M779.92%203.61M219.55%236.32M177.22%179.73M110.91%182.57M-64.34%23.14M-64.34%23.14M-64.81%73.95M-67.30%64.83M-50.17%86.56M
Free cash flow -26.39%19.19M-35.00%3.84M0.86%7.07M-66.82%1.84M-15.29%6.44M100.11%26.07M-6.11%5.9M16.05%7.01M973.69%5.55M4,011.35%7.61M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

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