Pathward Financial Inc. logo

Pathward Financial Inc.

CASH | NASDAQ
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$74.96
-$0.94 (-1.24%)
Sep 22, 2026, 12:24 PM ET · Market open
Fiscal Quarter
Period Ending
Q2 2026
Mar 30, 2026
Q1 2026
Dec 30, 2025
Q4 2025
Sep 29, 2025
Q3 2025
Jun 29, 2025
Q2 2025
Mar 30, 2025
Q1 2025
Dec 30, 2024
Q4 2024
Sep 29, 2024
Q3 2024
Jun 29, 2024
Q2 2024
Mar 30, 2024
Q1 2024
Dec 30, 2023
Q4 2023
Sep 29, 2023
Q3 2023
Jun 29, 2023
Q2 2023
Mar 30, 2023
Q1 2023
Dec 30, 2022
Q4 2022
Sep 29, 2022
Q3 2022
Jun 29, 2022
Q2 2022
Mar 30, 2022
Q1 2022
Dec 30, 2021
Q4 2021
Sep 29, 2021
Q3 2021
Jun 29, 2021
Q2 2021
Mar 30, 2021
Q1 2021
Dec 30, 2020
Net Income
73.06M 35.47M 39.07M 42.36M 75.19M 30.17M 34.17M 42.05M 65.52M 27.91M 36.41M 45.6M 55.37M 28.42M 24.11M 23.84M 50.1M 61.31M 16.72M 39.86M 59.91M 29.26M
Depreciation & Amortization
12.71M 13.4M 14.3M 15.09M 15.41M 14.92M 13.93M 14.38M 14.77M 14.69M 15.45M 15.12M 19.82M 14.57M 14.41M 16.44M 15.43M 15.32M 15.49M 15.15M 14.35M 14.07M
Stock-Based Compensation
3.92M 2.86M 2.28M 2.15M 3.46M 1.61M 2.52M 1.87M 4.67M 1.23M 2.67M 2.57M 2.56M 3.27M 2.24M 2.24M 2.09M 3.43M 1.76M 1.5M 2.55M 1.05M
Other Working Capital
51.37M -80.15M 82.15M -352.65M 52.48M 105.58M 123.31M 35.27M 41.17M -20.24M 55.71M 4.9M 36.59M -7.32M 12.6M -11.72M 39.15M -60.56M 23.82M -1.32M 44.59M -23.43M
Other Non-Cash Items
88.99M 132.93M 163.84M 321.99M 33.67M -222.11M -42.64M 7.32M 67.15M 1.48M 10.24M -65.82M 29.09M 3.37M -69.47M -41.85M 23.24M 130.6M 74.72M 2.66M 94.65M 156.93M
Deferred Income Tax
2.86M 1.46M 543K 4.34M 9.92M 2M 3.35M 3.7M 2.9M 1.16M -5.07M 2.35M 290K 2.26M -930K 4.43M 6.08M 8.02M -279K 4.57M 1.47M -7.4M
Change in Working Capital
51.41M -77.8M 83.62M -355.56M 50.67M 101.68M 123.68M 33.81M 37.95M -24.04M 54.76M 5M 34.33M -9.51M 11.43M -9.42M 37.28M -61.54M 22.52M 1.05M 42.9M -23.79M
Operating Cash Flow
232.95M 108.3M 303.66M 30.36M 188.33M -71.74M 135.02M 103.12M 192.96M 22.44M 114.46M 4.82M 141.46M 42.37M -18.21M -4.33M 134.22M 157.13M 130.93M 64.79M 215.82M 170.11M
Capital Expenditures
-2.31M -49.61M -92.67M -28.58M -37.9M -54.88M -49.29M -50.87M -68.47M -108.12M -71.59M -135.74M -76.24M -166.34M -160.87M -76.67M -93.9M -107.43M -15.48M -18.09M -16.74M -13.73M
Cash Acquisitions
n/a 2.41M 7.23M 12.41M 8.22M 600.23M n/a n/a n/a n/a n/a n/a n/a 1.5M n/a n/a n/a n/a n/a n/a n/a n/a
Purchase of Investments
-45.18M n/a n/a n/a -1.11M -1.17M -3.47M n/a n/a n/a -6.13M -150.75M n/a n/a -217.85M -219.45M -449.17M -20.89M -65.27M -565.04M -387.5M -23.96M
Sales Maturities Of Investments
76.58M 31.22M 58.9M 51.18M 95.74M 200.9M 60.82M 52.94M 48.26M 43.03M 51.3M 38.85M 41.86M 50.13M 83.16M 327.8M 96.6M 96.91M 112.45M 136.54M 131.9M 75.74M
Other Investing Acitivies
112.11M -284.37M -173.08M -317.37M 150.11M -452.33M -87.65M -169.26M 82.94M 21.47M -273.36M -242.26M -142.14M 160.16M 395.62M 89.76M 61.15M -116.1M -178.3M 135.36M -205.88M -220.43M
Investing Cash Flow
141.21M -300.36M -199.61M -282.36M 215.06M 292.76M -79.59M -167.18M 62.73M -43.62M -299.78M -489.9M -176.52M 45.44M 100.07M 121.9M -385.32M -147.52M -146.59M -311.22M -478.21M -182.38M
Debt Repayment
26M -9M -106M 115M n/a -377M 377M -31M 31M -13M -217M 187M 43M n/a 20M -75M -67K -7K -8K -8K -8K -8K
Common Stock Repurchased
-72.72M -50.9M -15.15M -45.45M -45.44M -57.01M -15.34M -15.15M -40.45M -15.92M -16.44M -21.72M -55.35M -26.93M -21.47M -110K -42.2M -104.46M -12.86M -41K -30.21M -56.76M
Dividend Paid
-1.09M -1.11M -1.14M -1.15M -1.19M -1.2M -1.24M -1.26M -1.27M -1.3M -1.31M -1.33M -1.39M -1.4M -1.45M -1.47M -1.48M -1.52M -1.6M -1.6M -1.6M -1.61M
Other Financial Acitivies
-498.81M 462.92M -118.3M 185.62M -699.88M 655.26M -556.78M 62.8M -568.14M 346.83M 280.99M 403.3M 112.16M -78.74M 153.27M -120.89M -697.72M 1.01B -375.89M -2.76B 2.43B 1.23B
Financial Cash Flow
-546.62M 401.91M -240.59M 254.02M -746.51M 220.05M -196.36M 15.4M -578.85M 316.61M 46.24M 567.26M 98.43M -107.07M 150.34M -197.47M -741.46M 906.41M -390.35M -2.76B 2.4B 1.17B
Net Cash Flow
-173.62M 210.65M -137.78M 4.09M -343.15M 439.06M -140.59M -48.96M -323.74M 296.05M -139.69M 82.67M 63.43M -18.87M 230.78M -80.42M -992.42M 916.08M -406.22M -3B 2.14B 1.16B
Free Cash Flow
230.64M 58.7M 211M 1.78M 150.43M -126.61M 85.73M 52.25M 124.48M -85.68M 42.87M -130.92M 65.22M -123.97M -179.08M -81M 40.33M 49.69M 115.46M 46.7M 199.08M 156.38M
Adj. Free Cash Flow
226.72M 55.84M 208.71M -367K 146.97M -128.22M 83.21M 50.39M 119.81M -86.91M 40.2M -133.49M 62.66M -127.24M -181.32M -83.24M 38.23M 46.26M 113.7M 45.2M 196.53M 155.33M
Maintenance CapEx
-2.31M -13.4M -85.15M -27.35M -31.84M -54.02M -48.57M -43.37M -56.46M -100.9M -58.98M -126.02M -69.03M -159.17M -160.87M -76.67M -91.42M -107.43M -11.83M -9M -13.07M -13.73M
Growth CapEx
n/a -36.21M -7.52M -1.23M -6.07M -861.17K -717.98K -7.5M -12.02M -7.23M -12.62M -9.72M -7.2M -7.17M n/a n/a -2.47M n/a -3.64M -9.08M -3.67M n/a
Owner Earnings
230.64M 94.91M 218.52M 3.01M 156.49M -125.75M 86.45M 59.75M 136.5M -78.45M 55.49M -121.2M 72.42M -116.8M -179.08M -81M 42.8M 49.69M 119.1M 55.79M 202.75M 156.38M

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