Аналитика онлайн » EMCG

Emclaire Financial Corp. является финансовой холдинговой компанией, которая занимается предоставлением розничных и коммерческих финансовых продуктов и услуг клиентам в западной Пенсильвании через свой 100-процентный дочерний банк, Farmers National Bank of Emlenton. Он предлагает жилищную ипотеку, домашний капитал и кредитные линии, коммерческую недвижимость, коммерческий бизнес, а также потребительские продукты и решения. Компания была основана в 1989 году и имеет штаб-квартиру в Эмлентоне, штат Пенсильвания.

General
Code EMCG
Type Common Stock
Name Embrace Change Acquisition Corp
Exchange NASDAQ
CurrencyCode USD
CurrencyName US Dollar
CurrencySymbol $
CountryName USA
CountryISO US
OpenFigi BBG011YXMSF4
CIK 1869601
FiscalYearEnd December
IPODate 2022-09-30
Sector Financial Services
Industry Shell Companies
IsDelisted Нет
FullTimeEmployees 0
UpdatedAt 2023-10-08
Highlights
EPSEstimateCurrentYear 0
EPSEstimateNextYear 0
EPSEstimateCurrentQuarter 0
ProfitMargin 0
OperatingMarginTTM 0
ReturnOnAssetsTTM 0
ReturnOnEquityTTM 0
RevenueTTM 0
RevenuePerShareTTM 0
QuarterlyRevenueGrowthYOY 0
GrossProfitTTM 0
DilutedEpsTTM 0
QuarterlyEarningsGrowthYOY 0

Financials / Income Statement / quarterly / net Income

216.52K
2022-09-30
1.21M
2022-12-31
1.52M
2023-03-31
820.42K
2023-06-30

Financials / Income Statement / quarterly / ebitda

-277.84K
2022-09-30
-840.9K
2022-12-31
-950.58K
2023-03-31
-1.06M
2023-06-30

Earnings / History / epsActual

0
2022-06-30
-0.0032
2022-09-30
0.05
2022-12-31
0.0716
2023-03-31
0.0847
2023-06-30
Valuation
TrailingPE 0
ForwardPE 0
PriceSalesTTM 0
PriceBookMRQ 0
EnterpriseValue 0
EnterpriseValueRevenue 0
EnterpriseValueEbitda 0
SharesStats
SharesOutstanding 0
SharesFloat 0
PercentInsiders 0
PercentInstitutions 0
Technicals
52WeekHigh 11.69
52WeekLow 10.19
50DayMA 0
200DayMA 0
SharesShort 0
SharesShortPriorMonth 0
ShortRatio 0
ShortPercent 0
Financials
Balance_Sheet
currency_symbol USD
quarterly
2023-06-30
date 2023-06-30
filing_date 2023-08-11
currency_symbol USD
totalAssets 78627171.00
totalLiab 2912261.00
totalStockholderEquity 75714910.00
commonStock 78305216.00
capitalStock 78305216.00
retainedEarnings -2590306.00
otherLiab 80892485.00
otherAssets 78304986.00
cash 287183.00
totalCurrentLiabilities 324762.00
netDebt -287183.00
totalCurrentAssets 322185.00
netTangibleAssets -2590076.00
accountsPayable 324762.00
nonCurrrentAssetsOther 78304986.00
nonCurrentAssetsTotal 78304986.00
nonCurrentLiabilitiesTotal 2587499.00
liabilitiesAndStockholdersEquity 78627171.00
cashAndShortTermInvestments 287183.00
netWorkingCapital -2577.00
netInvestedCapital 75714910.00
commonStockSharesOutstanding 9688748.00
2023-03-31
date 2023-03-31
filing_date 2023-05-22
currency_symbol USD
totalAssets 77762253.00
totalLiab 2867763.00
totalStockholderEquity 74894490.00
otherCurrentLiab 280264.00
commonStock 77364000.00
capitalStock 77364000.00
retainedEarnings -2469510.00
cash 398483.00
totalCurrentLiabilities 280264.00
netDebt -398483.00
totalCurrentAssets 398483.00
shortTermInvestments 77363770.00
nonCurrrentAssetsOther 77363770.00
nonCurrentAssetsTotal 77363770.00
nonCurrentLiabilitiesTotal 2587499.00
liabilitiesAndStockholdersEquity 77762253.00
cashAndShortTermInvestments 398483.00
netWorkingCapital 118219.00
netInvestedCapital 74894490.00
commonStockSharesOutstanding 9688748.00
2022-12-31
date 2022-12-31
filing_date 2023-03-07
currency_symbol USD
totalAssets 76944986.00
otherCurrentAssets 521.00
totalLiab 2744550.00
totalStockholderEquity 74200436.00
otherCurrentLiab 157051.00
commonStock 76541683.00
capitalStock 76541683.00
retainedEarnings -2341247.00
otherLiab 79128952.00
otherAssets 0.00
cash 403012.00
totalCurrentLiabilities 157051.00
netDebt -403012.00
totalCurrentAssets 403533.00
netTangibleAssets -2341017.00
netReceivables 521.00
inventory -521.00
nonCurrrentAssetsOther 76464911.55
nonCurrentAssetsTotal 76541453.00
nonCurrentLiabilitiesTotal 2587499.00
liabilitiesAndStockholdersEquity 76944986.00
cashAndShortTermInvestments 403012.00
netWorkingCapital 246482.00
netInvestedCapital 74200436.00
commonStockSharesOutstanding 4898504.00
2022-09-30
date 2022-09-30
filing_date 2022-11-08
currency_symbol USD
totalAssets 76379765.00
totalLiab 2620632.00
totalStockholderEquity 73759133.00
otherCurrentLiab 33133.00
commonStock 75900584.00
capitalStock 75900584.00
retainedEarnings -2141451.00
otherLiab 78487853.00
otherAssets 75900354.00
cash 479411.00
totalCurrentLiabilities 33133.00
netDebt -479411.00
totalCurrentAssets 479411.00
netTangibleAssets -2141221.00
nonCurrrentAssetsOther 75824453.65
nonCurrentAssetsTotal 75900354.00
nonCurrentLiabilitiesTotal 2587499.00
liabilitiesAndStockholdersEquity 76379765.00
cashAndShortTermInvestments 479411.00
netWorkingCapital 446278.00
netInvestedCapital 73759133.00
commonStockSharesOutstanding 6109374.00
2022-06-30
date 2022-06-30
filing_date 2022-07-21
totalAssets 174130.00
totalLiab 152360.00
totalStockholderEquity 21770.00
commonStock 187.00
retainedEarnings -3230.00
otherAssets 169528.00
cash 4602.00
totalCurrentLiabilities 152360.00
netDebt 147758.00
shortTermDebt 152360.00
shortLongTermDebtTotal 152360.00
otherStockholderEquity 24813.00
totalCurrentAssets 174130.00
nonCurrentLiabilitiesTotal 152360.00
liabilitiesAndStockholdersEquity 174130.00
cashAndShortTermInvestments 4602.00
commonStockSharesOutstanding 6109374.00
2021-09-30
date 2021-09-30
filing_date 2021-09-30
commonStockSharesOutstanding 6109374.00
2021-06-30
date 2021-06-30
filing_date 2021-06-30
commonStockSharesOutstanding 6109374.00
yearly
2022-12-31
date 2022-12-31
filing_date 2023-03-07
currency_symbol USD
totalAssets 76944986.00
otherCurrentAssets 521.00
totalLiab 2744550.00
totalStockholderEquity 74200436.00
otherCurrentLiab 157051.00
commonStock 76541683.00
capitalStock 76541683.00
retainedEarnings -2341247.00
otherLiab 79128952.00
otherAssets 0.00
cash 403012.00
totalCurrentLiabilities 157051.00
netDebt -403012.00
totalCurrentAssets 403533.00
netTangibleAssets -2341017.00
netReceivables 521.00
inventory -521.00
nonCurrrentAssetsOther 76464911.55
nonCurrentAssetsTotal 76541453.00
nonCurrentLiabilitiesTotal 2587499.00
liabilitiesAndStockholdersEquity 76944986.00
cashAndShortTermInvestments 403012.00
netWorkingCapital 246482.00
netInvestedCapital 74200436.00
commonStockSharesOutstanding 4898504.00
2021-12-31
date 2021-12-31
filing_date 2021-12-31
currency_symbol USD
totalAssets 169050.00
otherCurrentAssets 164448.00
totalLiab 147280.00
totalStockholderEquity 21770.00
commonStock 187.00
capitalStock 187.00
retainedEarnings -3230.00
cash 4602.00
totalCurrentLiabilities 147280.00
netDebt 142678.00
shortTermDebt 147280.00
shortLongTermDebt 147280.00
shortLongTermDebtTotal 147280.00
otherStockholderEquity 24813.00
totalCurrentAssets 4602.00
netTangibleAssets 21770.00
nonCurrentAssetsTotal 164448.00
nonCurrentLiabilitiesTotal 0.00
liabilitiesAndStockholdersEquity 169050.00
cashAndShortTermInvestments 4602.00
netWorkingCapital -142678.00
netInvestedCapital 169050.00
commonStockSharesOutstanding 9688747.00
Cash_Flow
currency_symbol USD
quarterly
2023-06-30
date 2023-06-30
filing_date 2023-08-11
currency_symbol USD
changeToLiabilities 44498.00
changeToOperatingActivities -35002.00
netIncome 820420.00
changeInCash -111300.00
beginPeriodCashFlow 398483.00
endPeriodCashFlow 287183.00
totalCashFromOperatingActivities -111300.00
changeToNetincome -941216.00
capitalExpenditures 0
changeInWorkingCapital 9496.00
otherNonCashItems -941216.00
freeCashFlow -111300.00
2023-03-31
date 2023-03-31
filing_date 2023-05-22
currency_symbol USD
changeToLiabilities 0.00
changeToOperatingActivities -35002.00
netIncome 694054.00
changeInCash -4529.00
beginPeriodCashFlow 403012.00
endPeriodCashFlow 398483.00
totalCashFromOperatingActivities -4529.00
changeToNetincome -941216.00
capitalExpenditures 0
changeInWorkingCapital 123734.00
otherNonCashItems -822317.00
freeCashFlow -4529.00
2022-12-31
date 2022-12-31
filing_date 2023-03-07
currency_symbol USD
investments 75776764.00
changeToLiabilities 0.00
totalCashFromFinancingActivities 0.00
changeToOperatingActivities 123397.00
netIncome 441303.00
changeInCash -76399.00
beginPeriodCashFlow 479411.00
endPeriodCashFlow 403012.00
totalCashFromOperatingActivities -76399.00
issuanceOfCapitalStock 0.00
otherCashflowsFromInvestingActivities -75776764.00
otherCashflowsFromFinancingActivities 76951765.00
changeToNetincome -641099.00
capitalExpenditures 0
changeInWorkingCapital 123397.00
otherNonCashItems -641099.00
freeCashFlow -76399.00
2022-09-30
date 2022-09-30
filing_date 2022-11-08
currency_symbol USD
investments 75776764.00
changeToLiabilities 0.00
totalCashFromFinancingActivities 76373687.00
changeToOperatingActivities 123397.00
netIncome -30657.00
changeInCash 475809.00
beginPeriodCashFlow 3602.00
endPeriodCashFlow 479411.00
totalCashFromOperatingActivities -121114.00
issuanceOfCapitalStock 76951765.00
otherCashflowsFromInvestingActivities -75776764.00
otherCashflowsFromFinancingActivities -578078.00
changeToNetincome -641099.00
capitalExpenditures 0
changeInWorkingCapital -90457.00
freeCashFlow -121114.00
2022-06-30
date 2022-06-30
filing_date 2022-07-21
totalCashFromFinancingActivities -1000.00
changeInCash -1000.00
beginPeriodCashFlow 4602.00
endPeriodCashFlow 4602.00
otherCashflowsFromFinancingActivities -1000.00
capitalExpenditures 0
yearly
2022-12-31
date 2022-12-31
filing_date 2023-03-07
currency_symbol USD
investments -75776764.00
changeToLiabilities 0.00
totalCashflowsFromInvestingActivities -75776764.00
netBorrowings -159478.00
totalCashFromFinancingActivities 76372687.00
changeToOperatingActivities 156530.00
netIncome 410646.00
changeInCash 398410.00
beginPeriodCashFlow 4602.00
endPeriodCashFlow 403012.00
totalCashFromOperatingActivities -197513.00
issuanceOfCapitalStock 76951765.00
otherCashflowsFromInvestingActivities -75776764.00
otherCashflowsFromFinancingActivities -419600.00
changeToNetincome -764689.00
capitalExpenditures 0
changeInWorkingCapital 156530.00
otherNonCashItems -764689.00
freeCashFlow -197513.00
2021-12-31
date 2021-12-31
currency_symbol USD
changeToLiabilities 0.00
totalCashflowsFromInvestingActivities -75776764.00
netBorrowings 126600.00
totalCashFromFinancingActivities 5522.00
changeToOperatingActivities 156530.00
netIncome -3876.00
changeInCash 5522.00
endPeriodCashFlow 4602.00
totalCashFromOperatingActivities -197513.00
otherCashflowsFromInvestingActivities -75776764.00
otherCashflowsFromFinancingActivities -151078.00
changeToNetincome 3876.00
capitalExpenditures 0
Income_Statement
currency_symbol USD
quarterly
2023-06-30
date 2023-06-30
filing_date 2023-08-11
currency_symbol USD
incomeBeforeTax 820420.00
netIncome 820420.00
ebit -120796.00
ebitda -1062012.00
depreciationAndAmortization -941216.00
operatingIncome -120796.00
otherOperatingExpenses 120796.00
totalRevenue 0.00
totalOperatingExpenses 120796.00
totalOtherIncomeExpenseNet 941216.00
netIncomeFromContinuingOps 820420.00
netIncomeApplicableToCommonShares 820420.00
2023-03-31
date 2023-03-31
filing_date 2023-05-22
currency_symbol USD
incomeBeforeTax 694054.00
netIncome 1516371.00
grossProfit -128263.00
ebit -128263.00
ebitda -950580.00
depreciationAndAmortization -822317.00
operatingIncome -128263.00
otherOperatingExpenses 128263.00
interestExpense -822317.00
incomeTaxExpense -822317.00
totalRevenue 0.00
totalOperatingExpenses 128263.00
costOfRevenue 128263.00
totalOtherIncomeExpenseNet 822317.00
netIncomeFromContinuingOps 694054.00
netIncomeApplicableToCommonShares 820420.00
2022-12-31
date 2022-12-31
filing_date 2023-03-07
currency_symbol USD
incomeBeforeTax 441303.00
netIncome 1205992.00
sellingGeneralAdministrative 199796.00
ebit -1605584.00
ebitda -840895.00
depreciationAndAmortization 764689.00
operatingIncome -1605584.00
otherOperatingExpenses 199796.00
interestExpense -1282198.00
incomeTaxExpense -764689.00
totalRevenue 0.00
totalOperatingExpenses 199796.00
totalOtherIncomeExpenseNet 2046887.00
netIncomeFromContinuingOps 441303.00
netIncomeApplicableToCommonShares 564893.00
2022-09-30
date 2022-09-30
filing_date 2022-11-08
currency_symbol USD
incomeBeforeTax -30657.00
netIncome 216523.00
sellingGeneralAdministrative 154247.00
ebit -525017.00
ebitda -277837.00
depreciationAndAmortization 247180.00
operatingIncome -525017.00
otherOperatingExpenses 154247.00
interestExpense -247180.00
incomeTaxExpense -247180.00
totalRevenue 0.00
totalOperatingExpenses 154247.00
totalOtherIncomeExpenseNet 494360.00
netIncomeFromContinuingOps -30657.00
netIncomeApplicableToCommonShares -154247.00
yearly
2022-12-31
date 2022-12-31
filing_date 2023-03-07
currency_symbol USD
incomeBeforeTax 410646.00
netIncome 1175335.00
sellingGeneralAdministrative 354043.00
grossProfit -354043.00
ebit -354043.00
ebitda -1118732.00
depreciationAndAmortization -764689.00
operatingIncome -354043.00
otherOperatingExpenses 354043.00
interestExpense -1529378.00
incomeTaxExpense -764689.00
totalRevenue 0.00
totalOperatingExpenses 354043.00
costOfRevenue 354043.00
totalOtherIncomeExpenseNet 764689.00
netIncomeFromContinuingOps 410646.00
netIncomeApplicableToCommonShares 410646.00
2021-12-31
date 2021-12-31
currency_symbol USD
ebit -3876.00
netIncomeApplicableToCommonShares -3876.00