Ottawa Bancorp, Inc. Share Price

Equities

OTTW

US6891951054

Banks

Market Closed - OTC Markets 08:55:06 20/05/2024 pm IST 5-day change 1st Jan Change
11.5 USD +1.23% Intraday chart for Ottawa Bancorp, Inc. 0.00% +3.14%
Sales 2019 1.13Cr 94Cr Sales 2020 1.25Cr 104.05Cr Capitalization 4.1Cr 341.62Cr
Net income 2019 10L 8.33Cr Net income 2020 20L 17Cr EV / Sales 2019 3.48 x
Net cash position 2019 26.39L 22Cr Net Debt 2020 5L 3.79Cr EV / Sales 2020 3.32 x
P/E ratio 2019
22.3 x
P/E ratio 2020
17.3 x
Employees -
Yield 2019
1.74%
Yield 2020
2.2%
Free-Float 100%
More Fundamentals * Assessed data
Dynamic Chart
1 day+1.23%
Current month+3.51%
1 month+2.68%
3 months+3.79%
6 months+3.88%
Current year+3.14%
More quotes
1 week
11.50
Extreme 11.5
11.50
1 month
11.11
Extreme 11.11
11.54
Current year
10.82
Extreme 10.82
11.55
1 year
9.89
Extreme 9.8901
11.55
3 years
9.70
Extreme 9.7
15.28
5 years
9.33
Extreme 9.325
15.28
10 years
7.05
Extreme 7.0464
15.28
More quotes
Managers TitleAgeSince
Chief Executive Officer 58 01/14/01
Director of Finance/CFO 61 01/16/01
Chief Operating Officer - 01/14/01
Members of the board TitleAgeSince
Director/Board Member 74 01/00/01
Director/Board Member 64 01/14/01
Chief Executive Officer 58 01/14/01
More insiders
Date Price Change Volume
20/24/20 11.5 +1.23% 260
17/24/17 11.36 -1.22% 930
16/24/16 11.5 0.00% 1,100
15/24/15 11.5 +1.77% 16,801

Delayed Quote OTC Markets, May 20, 2024 at 08:55 pm IST

More quotes
Ottawa Savings Bancorp, Inc. is a savings and loan holding company. The Company serves as the holding company of Ottawa Savings Bank (The Bank). The Bank's business is to attract deposits from the general public and use those funds to originate and purchase one- to four-family, multi-family and non-residential real estate, construction, commercial and consumer loans, which the Bank primarily holds for investment. The Bank's loan portfolio consists primarily of one- to four-family residential mortgage loans. Its loan portfolio includes multi-family and non-residential real estate, commercial, construction and consumer loans. It invests in the liquid assets, including the United States Treasury obligations, securities of various federal agencies and of state and municipal governments, mortgage-backed securities and certificates of deposit of federally insured institutions. Deposits and loan repayments are the sources of the Bank's funds for lending and other investment purposes.
Sector
Banks
More about the company