Reported Q: Q1 2024 Rev YoY: +5.4% EPS YoY: +22.2% Move: +0.28%
AmeriServ Financial Inc
ASRV
$3.63 0.28%
Exchange NASDAQ Sector Financial Services Industry Banks Regional
Q1 2024
Published: May 13, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for ASRV

Reported

Report Date

May 13, 2024

Quarter Q1 2024

Revenue

21.17M

YoY: +5.4%

EPS

0.11

YoY: +22.2%

Market Move

+0.28%

Previous quarter: N/A

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Earnings Highlights

  • Revenue of $21.17M up 5.4% year-over-year
  • EPS of $0.11 increased by 22.2% from previous year
  • Gross margin of 67.3%
  • Net income of 1.90M
  • "N/A" - N/A
ASRV
Company ASRV

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Executive Summary

AmeriServ Financial Inc reported Q1 2024 results with revenue of $21.17 million, gross profit of $14.25 million and net income of $1.90 million, translating to earnings per share (EPS) of $0.11. The quarter demonstrated solid profitability on a YoY basis, with net income up 25.7% YoY and 135.8% QoQ, and EPS up 22.2% YoY and 135.5% QoQ. However, operating cash flow remained negative at $2.15 million, underscoring ongoing working capital dynamics and the bank’s reliance on financing activities to support liquidity. The balance sheet remains materially skewed toward investment securities, with total assets of approximately $1.384 billion and long-term investments of about $1.077 billion, while equity remains relatively modest at $103.9 million, yielding a reported book multiple well below 1x on a price multiple basis.

Key takeaways for investors:
- Earnings power is positive with improving margins and solid profitability in Q1, but cash generation from operations is weak, implying near-term cash-flow sensitivity to balance-sheet moves.
- The company trades at a low earnings multiple (P/E ~5.25x) and a muted price-to-book (~0.38x), suggesting potential undervaluation relative to peers, but investors should weigh liquidity, capital allocation, and rate sensitivity risks.
- The investment-heavy balance sheet provides backdrop for stable asset sourcing but raises questions about revenue sensitivity to market moves and the potential for impairments or rebalances in securities holdings.

Key Performance Indicators

Revenue
Increasing
21.17M
QoQ: 13.02% | YoY: 5.43%
Gross Profit
Increasing
14.25M
67.31% margin
QoQ: 167.12% | YoY: 2.90%
Operating Income
Increasing
2.39M
QoQ: 135.11% | YoY: 26.50%
Net Income
Increasing
1.90M
QoQ: 135.78% | YoY: 25.68%
EPS
Increasing
0.11
QoQ: 135.48% | YoY: 22.22%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2025 21.14 0.12 -0.1% View
Q4 2024 21.52 0.05 +14.9% View
Q3 2024 20.91 0.07 +6.2% View
Q2 2024 20.88 -0.02 +11.4% View
Q1 2024 21.17 0.11 +5.4% View