BeStock  

Central Pacific Bank CPF

US equityMarket cap rank #3295Banks - Regional
$35.81 −$0.47 (-1.30%)
Pre-market · Oct 8, 8:20 am ET · After hours $35.81 0.00%
Open$35.90
Prev close$36.28
Day range$35.50 – $35.96
Volume158.2K
Market cap$922.02M
P/E (TTM)11.5
Dividend yield3.16%

Earnings

Average move on report day±2.3%last 16 reports
Closed higher7 of 1644% of the time
Best reaction+7.1%
Worst reaction-8.2%

Stock move on the day after each report

+1.3%2023/Q3-2.8%2023/Q4-0.1%2024/Q1+0.4%2024/Q2-8.2%2024/Q3-2.0%2024/Q4+1.0%2025/Q1-0.8%2025/Q2-6.4%2025/Q3+0.5%2025/Q4-1.2%2026/Q1-0.1%2026/Q2
QuarterReport dateTimingImplied moveActual moveVersus implied
2026/Q224 Jul 2026Pre Market±12.7%-0.08%Within range
2026/Q129 Apr 2026Pre Market±7.1%-1.24%Within range
2025/Q428 Jan 2026Pre Market±17.1%+0.54%Within range
2025/Q329 Oct 2025Pre Market±16.9%-6.38%Within range
2025/Q225 Jul 2025Pre Market±7.6%-0.83%Within range
2025/Q123 Apr 2025Pre Market–+1.00%–
2024/Q429 Jan 2025Pre Market–-2.00%–
2024/Q330 Oct 2024Pre Market±9.5%-8.20%Within range
2024/Q231 Jul 2024Pre Market–+0.38%–
2024/Q124 Apr 2024Pre Market±6.5%-0.05%Within range
2023/Q431 Jan 2024Pre Market±12.1%-2.78%Within range
2023/Q325 Oct 2023Pre Market–+1.29%–
2023/Q226 Jul 2023Pre Market±10.7%+1.26%Within range
2023/Q126 Apr 2023Pre Market±15.5%+3.55%Within range
2022/Q425 Jan 2023Pre Market–+7.13%–
2022/Q321 Oct 2022Pre Market–-0.14%–

"Implied move" is the size of move the options market was pricing ahead of the report. Move is the stock’s change on the first session after the release.

Latest reported quarter: Q2, ended Jun 2026

Revenue$76.30M+6.7% YoY
Net profit$20.82M+14.0% YoY
Diluted EPS$0.80+19.4% YoY
Free cash flow$40.98M+23.9% YoY
Operating cash flow$42.90M

Revenue, last 8 quarters

$65.3MSep '24$57.9MDec '24$67.6MMar '25$71.5MJun '25$73.5MSep '25$75.9MDec '25$71.8MMar '26$76.3MJun '26

Net profit, last 8 quarters

$13.3MSep '24$11.3MDec '24$17.8MMar '25$18.3MJun '25$18.6MSep '25$22.9MDec '25$20.7MMar '26$20.8MJun '26

Profitability & balance sheet

Net margin27.9%
Return on equity14.2%
Return on assets1.1%
Liabilities / assets92.1%
Cash & investments$383.27M
Total debt$100.61M
Net cash (debt)$282.66M
Free cash flow / sales32.9%

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