美股市場個股詳情

Central Federal (CFBK)

添加自選
  • 29.410
  • -0.010-0.03%
收盤價 04/24 16:00 (美東)
  • 29.410
  • 0.0000.00%
盤後 16:00 (美東)
1.89億總市值10.93市盈率TTM

Central Federal (CFBK) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
31.71%1,868.8萬
-75.89%304.6萬
533.54%548萬
99.85%795.6萬
290.01%220.6萬
-21.39%1,418.9萬
58.31%1,263.3萬
-151.57%-126.4萬
116.24%398.1萬
-120.09%-116.1萬
持續經營淨收入
31.03%1,754.1萬
29.86%573.6萬
-44.35%234萬
197.05%503.5萬
44.30%443萬
-20.96%1,338.7萬
4.30%441.7萬
4.32%420.5萬
-59.86%169.5萬
-30.98%307萬
持續經營損益
4.80%-59.5萬
-9.36%-18.7萬
-90.00%-20.9萬
-136.78%-20.6萬
102.72%7,000
-458.04%-62.5萬
-94.32%-17.1萬
-83.33%-11萬
-1,840.00%-8.7萬
-929.03%-25.7萬
折舊和攤銷
-2.06%47.6萬
7.83%12.4萬
-2.52%11.6萬
-3.28%11.8萬
-9.23%11.8萬
-14.29%48.6萬
-18.44%11.5萬
-17.93%11.9萬
-17.57%12.2萬
-2.26%13萬
遞延稅費
49.04%-18.6萬
16.17%-31.1萬
-16.25%46.9萬
10.83%-24.7萬
64.98%-9.7萬
-180.04%-36.5萬
-167.09%-37.1萬
381.41%56萬
-610.26%-27.7萬
-296.45%-27.7萬
其他非現金項目
-105.38%-526.8萬
-281.77%-383.9萬
48.73%-132.8萬
197.55%127.6萬
-76.77%-137.7萬
8.36%-256.5萬
316.39%211.2萬
-483.33%-259萬
-29.50%-130.8萬
-111.11%-77.9萬
營運資金變動
27.36%-292.1萬
-99.30%3.4萬
68.91%-134.7萬
2,000.00%15.2萬
61.04%-176萬
-725.67%-402.1萬
64.36%483.7萬
-72.73%-433.2萬
99.55%-8,000
-616.34%-451.8萬
-應收款項(增)減
-58.13%147.4萬
-44.64%295萬
41.16%-158.8萬
41.60%-7.3萬
-81.77%18.5萬
231.54%352萬
1,111.14%532.9萬
4.63%-269.9萬
90.46%-12.5萬
-0.88%101.5萬
-應付款項及遞延費用(減)增
41.45%-445.1萬
-477.71%-292.9萬
113.66%22.8萬
88.39%21.1萬
64.59%-196.1萬
-447.44%-760.2萬
-120.28%-50.7萬
-623.20%-166.9萬
122.81%11.2萬
-3,855.71%-553.8萬
-其他流動資產變化
-12.22%66.1萬
-2.33%16.8萬
-23.85%16.6萬
-9.84%16.5萬
-10.00%16.2萬
9.61%75.3萬
-14.00%17.2萬
24.57%21.8萬
-2.66%18.3萬
45.16%18萬
-其他流動負債變化
12.57%-60.5萬
1.27%-15.5萬
15.93%-15.3萬
15.17%-15.1萬
16.57%-14.6萬
-0.87%-69.2萬
20.30%-15.7萬
-5.81%-18.2萬
3.26%-17.8萬
-31.58%-17.5萬
非持續經營活動現金流
經營活動現金淨額
31.71%1,868.8萬
-75.89%304.6萬
533.54%548萬
99.85%795.6萬
290.01%220.6萬
-21.39%1,418.9萬
58.31%1,263.3萬
-151.57%-126.4萬
116.24%398.1萬
-120.09%-116.1萬
投資活動現金流量
持續投資活動現金淨額
24.11%-2,504萬
-228.06%-1,860.4萬
177.63%2,193.4萬
-300.44%-544.2萬
-1,186.64%-2,292.8萬
72.92%-3,299.4萬
83.86%-567.1萬
0.82%-2,825.6萬
120.46%271.5萬
96.04%-178.2萬
投資產品交易淨現金流
-6,026.79%-331.9萬
-3,817.65%-821.6萬
-165.75%-88.7萬
143.98%88.7萬
873.56%489.7萬
-97.93%5.6萬
-56.06%22.1萬
4.01%134.9萬
-602.99%-201.7萬
-0.20%50.3萬
貸款淨收益
30.76%-2,279.9萬
-78.96%-1,036.9萬
174.27%2,190.1萬
-216.00%-548.8萬
-1,115.47%-2,884.3萬
73.23%-3,292.6萬
95.30%-579.4萬
-8,268.98%-2,949萬
-89.21%473.1萬
94.59%-237.3萬
固定資產交易的淨現金流
-83.08%-48.7萬
75.77%-5.5萬
-839.29%-26.3萬
-1,337.50%-11.5萬
-1,700.00%-5.4萬
59.76%-26.6萬
-1,646.15%-22.7萬
---2.8萬
94.56%-8,000
99.40%-3,000
其他投資活動的淨現金流
1,002.11%156.5萬
-72.09%3.6萬
1,459.77%118.3萬
-8,166.67%-72.6萬
1,078.02%107.2萬
116.12%14.2萬
-99.85%12.9萬
99.71%-8.7萬
100.02%9,000
108.05%9.1萬
非持續投資現金淨額
投資活動現金流淨額
24.11%-2,504萬
-228.06%-1,860.4萬
177.63%2,193.4萬
-300.44%-544.2萬
-1,186.64%-2,292.8萬
72.92%-3,299.4萬
83.86%-567.1萬
0.82%-2,825.6萬
120.46%271.5萬
96.04%-178.2萬
融資活動現金流量
持續融資活動現金淨額
499.73%3,005.2萬
141.63%216.9萬
-244.54%-3,073.7萬
1,875.18%3,218.4萬
221.49%2,643.6萬
-103.52%-751.8萬
-108.83%-521萬
-12.13%2,126.5萬
-106.30%-181.3萬
-121.41%-2,176萬
存款的增減
112.08%2,489.4萬
-79.62%208.3萬
-163.63%-3,124.2萬
198.36%2,615.9萬
232.91%2,789.4萬
-94.57%1,173.8萬
-82.70%1,021.9萬
97.11%4,910萬
-147.28%-2,659.4萬
-127.64%-2,098.7萬
債務發行/償還的淨現金流
147.56%825.1萬
100.01%1,000
--0
-68.45%825萬
--0
-3,569.80%-1,734.9萬
---1,600萬
---2,850萬
196.86%2,615.1萬
-96.36%100萬
普通股發行/償還的淨現金流
-306.25%-143萬
---43.9萬
-1,057.14%-8.1萬
-1,711.36%-79.7萬
62.46%-11.3萬
-17.73%-35.2萬
--0
83.72%-7,000
-388.89%-4.4萬
-323.94%-30.1萬
現金股利支付
-20.69%-194.8萬
-14.79%-52萬
-33.76%-51.9萬
-17.83%-45.6萬
-17.36%-45.3萬
-9.35%-161.4萬
-17.36%-45.3萬
-0.78%-38.8萬
-0.52%-38.7萬
-20.63%-38.6萬
職工行使股票期權收到的現金
--0
----
----
----
----
--0
--0
--0
----
----
其他融資活動的淨現金流額
383.05%28.5萬
1.95%104.4萬
4.25%110.5萬
-3.51%-97.2萬
17.86%-89.2萬
104.42%5.9萬
131.67%102.4萬
456.90%106萬
-858.16%-93.9萬
21.36%-108.6萬
非持續融資活動現金淨額
融資活動現金流淨額
499.73%3,005.2萬
141.63%216.9萬
-244.54%-3,073.7萬
1,875.18%3,218.4萬
221.49%2,643.6萬
-103.52%-751.8萬
-108.83%-521萬
-12.13%2,126.5萬
-106.30%-181.3萬
-121.41%-2,176萬
現金淨流量
期初現金流
-10.06%2.35億
16.63%2.72億
14.03%2.76億
1.73%2.41億
-10.06%2.35億
72.34%2.62億
1.64%2.34億
4.39%2.42億
10.57%2.37億
72.34%2.62億
當期現金流變化
190.04%2,370萬
-864.21%-1,338.9萬
59.75%-332.3萬
610.59%3,469.8萬
123.13%571.4萬
-123.97%-2,632.3萬
-94.50%175.2萬
-349.37%-825.5萬
-71.86%488.3萬
-139.55%-2,470.3萬
期末現金流
10.07%2.59億
10.07%2.59億
16.63%2.72億
14.03%2.76億
1.73%2.41億
-10.06%2.35億
-10.06%2.35億
1.64%2.34億
4.39%2.42億
10.57%2.37億
自由現金流
30.73%1,820.1萬
-75.89%299.1萬
503.79%521.7萬
97.36%784.1萬
284.88%215.2萬
-19.94%1,392.3萬
55.72%1,240.6萬
-152.71%-129.2萬
134.53%397.3萬
-122.05%-116.4萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
帶解釋段的無保留意見
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帶解釋段的無保留意見
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 31.71%1,868.8萬-75.89%304.6萬533.54%548萬99.85%795.6萬290.01%220.6萬-21.39%1,418.9萬58.31%1,263.3萬-151.57%-126.4萬116.24%398.1萬-120.09%-116.1萬
持續經營淨收入 31.03%1,754.1萬29.86%573.6萬-44.35%234萬197.05%503.5萬44.30%443萬-20.96%1,338.7萬4.30%441.7萬4.32%420.5萬-59.86%169.5萬-30.98%307萬
持續經營損益 4.80%-59.5萬-9.36%-18.7萬-90.00%-20.9萬-136.78%-20.6萬102.72%7,000-458.04%-62.5萬-94.32%-17.1萬-83.33%-11萬-1,840.00%-8.7萬-929.03%-25.7萬
折舊和攤銷 -2.06%47.6萬7.83%12.4萬-2.52%11.6萬-3.28%11.8萬-9.23%11.8萬-14.29%48.6萬-18.44%11.5萬-17.93%11.9萬-17.57%12.2萬-2.26%13萬
遞延稅費 49.04%-18.6萬16.17%-31.1萬-16.25%46.9萬10.83%-24.7萬64.98%-9.7萬-180.04%-36.5萬-167.09%-37.1萬381.41%56萬-610.26%-27.7萬-296.45%-27.7萬
其他非現金項目 -105.38%-526.8萬-281.77%-383.9萬48.73%-132.8萬197.55%127.6萬-76.77%-137.7萬8.36%-256.5萬316.39%211.2萬-483.33%-259萬-29.50%-130.8萬-111.11%-77.9萬
營運資金變動 27.36%-292.1萬-99.30%3.4萬68.91%-134.7萬2,000.00%15.2萬61.04%-176萬-725.67%-402.1萬64.36%483.7萬-72.73%-433.2萬99.55%-8,000-616.34%-451.8萬
-應收款項(增)減 -58.13%147.4萬-44.64%295萬41.16%-158.8萬41.60%-7.3萬-81.77%18.5萬231.54%352萬1,111.14%532.9萬4.63%-269.9萬90.46%-12.5萬-0.88%101.5萬
-應付款項及遞延費用(減)增 41.45%-445.1萬-477.71%-292.9萬113.66%22.8萬88.39%21.1萬64.59%-196.1萬-447.44%-760.2萬-120.28%-50.7萬-623.20%-166.9萬122.81%11.2萬-3,855.71%-553.8萬
-其他流動資產變化 -12.22%66.1萬-2.33%16.8萬-23.85%16.6萬-9.84%16.5萬-10.00%16.2萬9.61%75.3萬-14.00%17.2萬24.57%21.8萬-2.66%18.3萬45.16%18萬
-其他流動負債變化 12.57%-60.5萬1.27%-15.5萬15.93%-15.3萬15.17%-15.1萬16.57%-14.6萬-0.87%-69.2萬20.30%-15.7萬-5.81%-18.2萬3.26%-17.8萬-31.58%-17.5萬
非持續經營活動現金流
經營活動現金淨額 31.71%1,868.8萬-75.89%304.6萬533.54%548萬99.85%795.6萬290.01%220.6萬-21.39%1,418.9萬58.31%1,263.3萬-151.57%-126.4萬116.24%398.1萬-120.09%-116.1萬
投資活動現金流量
持續投資活動現金淨額 24.11%-2,504萬-228.06%-1,860.4萬177.63%2,193.4萬-300.44%-544.2萬-1,186.64%-2,292.8萬72.92%-3,299.4萬83.86%-567.1萬0.82%-2,825.6萬120.46%271.5萬96.04%-178.2萬
投資產品交易淨現金流 -6,026.79%-331.9萬-3,817.65%-821.6萬-165.75%-88.7萬143.98%88.7萬873.56%489.7萬-97.93%5.6萬-56.06%22.1萬4.01%134.9萬-602.99%-201.7萬-0.20%50.3萬
貸款淨收益 30.76%-2,279.9萬-78.96%-1,036.9萬174.27%2,190.1萬-216.00%-548.8萬-1,115.47%-2,884.3萬73.23%-3,292.6萬95.30%-579.4萬-8,268.98%-2,949萬-89.21%473.1萬94.59%-237.3萬
固定資產交易的淨現金流 -83.08%-48.7萬75.77%-5.5萬-839.29%-26.3萬-1,337.50%-11.5萬-1,700.00%-5.4萬59.76%-26.6萬-1,646.15%-22.7萬---2.8萬94.56%-8,00099.40%-3,000
其他投資活動的淨現金流 1,002.11%156.5萬-72.09%3.6萬1,459.77%118.3萬-8,166.67%-72.6萬1,078.02%107.2萬116.12%14.2萬-99.85%12.9萬99.71%-8.7萬100.02%9,000108.05%9.1萬
非持續投資現金淨額
投資活動現金流淨額 24.11%-2,504萬-228.06%-1,860.4萬177.63%2,193.4萬-300.44%-544.2萬-1,186.64%-2,292.8萬72.92%-3,299.4萬83.86%-567.1萬0.82%-2,825.6萬120.46%271.5萬96.04%-178.2萬
融資活動現金流量
持續融資活動現金淨額 499.73%3,005.2萬141.63%216.9萬-244.54%-3,073.7萬1,875.18%3,218.4萬221.49%2,643.6萬-103.52%-751.8萬-108.83%-521萬-12.13%2,126.5萬-106.30%-181.3萬-121.41%-2,176萬
存款的增減 112.08%2,489.4萬-79.62%208.3萬-163.63%-3,124.2萬198.36%2,615.9萬232.91%2,789.4萬-94.57%1,173.8萬-82.70%1,021.9萬97.11%4,910萬-147.28%-2,659.4萬-127.64%-2,098.7萬
債務發行/償還的淨現金流 147.56%825.1萬100.01%1,000--0-68.45%825萬--0-3,569.80%-1,734.9萬---1,600萬---2,850萬196.86%2,615.1萬-96.36%100萬
普通股發行/償還的淨現金流 -306.25%-143萬---43.9萬-1,057.14%-8.1萬-1,711.36%-79.7萬62.46%-11.3萬-17.73%-35.2萬--083.72%-7,000-388.89%-4.4萬-323.94%-30.1萬
現金股利支付 -20.69%-194.8萬-14.79%-52萬-33.76%-51.9萬-17.83%-45.6萬-17.36%-45.3萬-9.35%-161.4萬-17.36%-45.3萬-0.78%-38.8萬-0.52%-38.7萬-20.63%-38.6萬
職工行使股票期權收到的現金 --0------------------0--0--0--------
其他融資活動的淨現金流額 383.05%28.5萬1.95%104.4萬4.25%110.5萬-3.51%-97.2萬17.86%-89.2萬104.42%5.9萬131.67%102.4萬456.90%106萬-858.16%-93.9萬21.36%-108.6萬
非持續融資活動現金淨額
融資活動現金流淨額 499.73%3,005.2萬141.63%216.9萬-244.54%-3,073.7萬1,875.18%3,218.4萬221.49%2,643.6萬-103.52%-751.8萬-108.83%-521萬-12.13%2,126.5萬-106.30%-181.3萬-121.41%-2,176萬
現金淨流量
期初現金流 -10.06%2.35億16.63%2.72億14.03%2.76億1.73%2.41億-10.06%2.35億72.34%2.62億1.64%2.34億4.39%2.42億10.57%2.37億72.34%2.62億
當期現金流變化 190.04%2,370萬-864.21%-1,338.9萬59.75%-332.3萬610.59%3,469.8萬123.13%571.4萬-123.97%-2,632.3萬-94.50%175.2萬-349.37%-825.5萬-71.86%488.3萬-139.55%-2,470.3萬
期末現金流 10.07%2.59億10.07%2.59億16.63%2.72億14.03%2.76億1.73%2.41億-10.06%2.35億-10.06%2.35億1.64%2.34億4.39%2.42億10.57%2.37億
自由現金流 30.73%1,820.1萬-75.89%299.1萬503.79%521.7萬97.36%784.1萬284.88%215.2萬-19.94%1,392.3萬55.72%1,240.6萬-152.71%-129.2萬134.53%397.3萬-122.05%-116.4萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 帶解釋段的無保留意見--------帶解釋段的無保留意見--------
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