Consumer Portfolio Services CPSS
NASDAQ CPSS
$9.34 -0.30 (-3.11%)
At close: Sep 18, 2026 · 4:00 PM EDT

Consumer Portfolio Services (CPSS) Net Income towards Common Stockholders (2010 - 2026)

Consumer Portfolio Services' (CPSS) quarterly Net Income towards Common Stockholders came in at $6.2 million in Q2 2026, up 31.19% year-over-year from $4.8 million in Q2 2025, and up 12.77% quarter-over-quarter from $5.5 million in Q1 2026.

Analysis

Consumer Portfolio Services (CPSS) Net Income towards Common Stockholders (2010 - 2026) Analysis & Trends

Consumer Portfolio Services has disclosed Net Income towards Common Stockholders across 17 years of filings, most recently posting $6.2 million for Q2 2026.

  • In Q2 2026, Net Income towards Common Stockholders rose 31.19% year-over-year to $6.2 million; the TTM figure through Jun 2026 stood at $21.6 million (up 11.54% YoY), while the FY2025 annual figure was $19.3 million, up 0.64% from the prior year.
  • Net Income towards Common Stockholders came in at $6.2 million for Q2 2026 at Consumer Portfolio Services, up from $5.5 million in the prior quarter.
  • In the past five years, Net Income towards Common Stockholders ranged from a high of $25.4 million in Q3 2022 to a low of $4.6 million in Q1 2024.
  • Average Net Income towards Common Stockholders over 5 years is $10.1 million, with a median of $5.9 million recorded in 2026.
  • Year-over-year, Net Income towards Common Stockholders surged 310.48% in 2022 and slumped 67.03% in 2024.
  • Over 5 years, Net Income towards Common Stockholders stood at $14.1 million in 2022, then tumbled by 49.13% to $7.2 million in 2023, then retreated by 28.44% to $5.1 million in 2024, then slipped by 3.19% to $5.0 million in 2025, then grew by 25.16% to $6.2 million in 2026.
  • Per Business Quant data, the three most recent Net Income towards Common Stockholders figures were $6.2 million in Q2 2026, $5.5 million in Q1 2026, and $5.0 million in Q4 2025.
Peer Set

Peer Comparison

# Company Market Cap Enterprise Value Gross Profit (Qtr) Net Income (Qtr)
1 Synchrony Financial 24.38 Bn 8.19 Bn - 864.00 Mn
2 Affirm Holdings 24.01 Bn 22.38 Bn - 1.62 Bn
3 FirstCash Holdings 9.50 Bn 9.33 Bn 533.67 Mn 93.47 Mn
4 Credit Acceptance 6.00 Bn 5.51 Bn 569.30 Mn 135.90 Mn
5 Slm 4.72 Bn -77.52 Mn - 54.94 Mn
6 Enova International 4.35 Bn 4.22 Bn 568.07 Mn 105.06 Mn
7 Bread Financial Holdings 4.20 Bn -15.89 Bn 957.00 Mn 144.00 Mn
8 StoneCo 2.99 Bn 1.38 Bn 308.97 Mn 367.49
9 Ezcorp 1.88 Bn 1.57 Bn 246.19 Mn 38.49 Mn
10 Consumer Portfolio Services 201.73 Mn 29.03 Mn - 6.23 Mn
Historic Data

Historic Data

Download Data
DateValue
Jun 30, 2026 6.23 Mn
Mar 31, 2026 5.53 Mn
Dec 31, 2025 4.98 Mn
Sep 30, 2025 4.83 Mn
Jun 30, 2025 4.75 Mn
Mar 31, 2025 4.69 Mn
Dec 31, 2024 5.15 Mn
Sep 30, 2024 4.75 Mn
Jun 30, 2024 4.67 Mn
Mar 31, 2024 4.56 Mn
Dec 31, 2023 7.19 Mn
Sep 30, 2023 10.38 Mn
Jun 30, 2023 13.90 Mn
Mar 31, 2023 13.82 Mn
Dec 31, 2022 14.14 Mn
Sep 30, 2022 25.41 Mn
Jun 30, 2022 25.32 Mn
Mar 31, 2022 21.12 Mn
Jun 30, 2021 9.68 Mn
Mar 31, 2021 5.14 Mn