美股市場個股詳情

Community Bancorp (CMTV)

添加自選
  • 40.560
  • +0.610+1.53%
收盤價 05/01 16:00 (美東)
  • 40.560
  • 0.0000.00%
盤後 20:01 (美東)
2.27億總市值12.79市盈率TTM

Community Bancorp (CMTV) 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
1.77%1,604.9萬
16.31%569.15萬
24.15%576.48萬
-7.21%421.02萬
-77.43%38.25萬
5.62%1,576.92萬
13.78%489.34萬
-6.28%464.35萬
112.36%453.72萬
-52.10%169.5萬
持續經營淨收入
32.93%1,696.8萬
13.10%463.6萬
52.42%474.68萬
48.81%405.98萬
24.89%352.55萬
-4.97%1,276.45萬
15.98%409.91萬
-7.38%311.43萬
-14.65%272.82萬
-15.45%282.29萬
持續經營損益
-47.17%-192.15萬
-87.66%-46.02萬
-64.46%-63.18萬
-61.52%-57.48萬
20.48%-25.48萬
-9.67%-130.56萬
33.85%-24.52萬
-84.29%-38.41萬
-7.84%-35.59萬
-13.87%-32.04萬
折舊和攤銷
1.48%104.52萬
5.52%26.3萬
3.72%26.57萬
-2.43%25.99萬
-0.59%25.67萬
-3.74%103萬
-4.31%24.93萬
-3.69%25.62萬
-0.22%26.63萬
-6.66%25.82萬
遞延稅費
-86.23%4.85萬
12,808.92%5.99萬
-83.07%2.83萬
212.71%6.24萬
-161.87%-10.21萬
194.32%35.19萬
99.55%-471
168.47%16.74萬
-54.79%1.99萬
339.78%16.51萬
其他非現金項目
-86.87%7,617
13,920.82%119.63萬
-262.21%-37.04萬
-226.88%-33.91萬
-11.74%-47.92萬
-62.20%5.8萬
-109.08%-8,656
-74.79%22.83萬
130.48%26.73萬
-1,562.30%-42.89萬
營運資金變動
-401.88%-235.45萬
-241.48%-59.5萬
110.13%125.62萬
-89.33%11.53萬
-137.52%-313.09萬
257.48%77.99萬
277.05%42.06萬
21.50%59.78萬
288.27%107.97萬
-647.83%-131.82萬
-應收款項(增)減
39.96%-13.55萬
-24.22%-14.82萬
56.04%-1.72萬
91.80%103.32萬
-65.57%-100.34萬
78.14%-22.57萬
71.37%-11.93萬
93.68%-3.91萬
632.88%53.87萬
-687.47%-60.6萬
-應付款項及遞延費用(減)增
-271.42%-205.55萬
-99.48%3,748
-18.26%58.95萬
-182.61%-31.58萬
-271.16%-233.29萬
75.52%119.91萬
32.98%72.42萬
-37.79%72.12萬
150.52%38.23萬
-138.09%-62.85萬
-遞延費用變動
-82.60%-13.79萬
-194.90%-4.82萬
-11.38%-3.19萬
-97.33%-2.89萬
-81.78%-2.9萬
5.47%-7.55萬
28.73%-1.63萬
1.06%-2.86萬
-25.14%-1.46萬
2.51%-1.59萬
-其他流動資產變化
-723.34%-29.58萬
-297.31%-57.18萬
602.60%79.3萬
-605.75%-78.58萬
449.67%26.88萬
147.39%4.75萬
36.88%-14.39萬
-3.06%11.29萬
1,397.22%15.54萬
-7,204.16%-7.69萬
-其他流動負債變化
538.83%34.99萬
7,248.18%18.89萬
60.83%-5.74萬
481.88%23.26萬
-148.35%-1.42萬
-170.34%-7.97萬
97.20%-2,642
-25.05%-14.64萬
-86.91%4萬
51.01%2.93萬
-其他營運資本變化
6.91%-7.97萬
9.14%-1.94萬
10.28%-1.98萬
8.24%-2.02萬
-0.60%-2.03萬
-7.99%-8.57萬
-6.56%-2.14萬
-12.03%-2.21萬
-10.58%-2.2萬
-2.75%-2.02萬
非持續經營活動現金流
經營活動現金淨額
1.77%1,604.9萬
16.31%569.15萬
24.15%576.48萬
-7.21%421.02萬
-77.43%38.25萬
5.62%1,576.92萬
13.78%489.34萬
-6.28%464.35萬
112.36%453.72萬
-52.10%169.5萬
投資活動現金流量
持續投資活動現金淨額
71.36%-1,619.98萬
158.22%589.47萬
71.12%-1,196.25萬
-2.49%828.38萬
-36.25%-1,841.58萬
38.58%-5,656.48萬
-60.82%-1,012.5萬
31.15%-4,141.84萬
144.56%849.5萬
-105.68%-1,351.64萬
投資產品交易淨現金流
-6.76%2,294.27萬
9,505.27%889萬
-8.65%911.09萬
65.58%1,055.41萬
-168.72%-561.23萬
224.07%2,460.7萬
-86.82%9.26萬
1,314.78%997.39萬
53.31%637.4萬
129.77%816.65萬
貸款淨收益
54.72%-3,805.81萬
75.22%-374.47萬
60.54%-2,041.71萬
-139.05%-150.78萬
41.16%-1,238.86萬
13.54%-8,405.41萬
-119.53%-1,511.31萬
10.19%-5,174.7萬
116.95%386.13萬
-111.78%-2,105.53萬
資本支出
1.39%-78.08萬
487.09%42.59萬
-482.08%-82.02萬
74.00%-11.2萬
6.20%-27.45萬
-24.99%-79.18萬
161.91%7.26萬
46.25%-14.09萬
-352.73%-43.08萬
-84.09%-29.27萬
其他投資活動的淨現金流
-108.27%-30.37萬
-93.29%32.35萬
-66.95%16.38萬
50.32%-65.05萬
58.06%-14.05萬
229.75%367.41萬
583.99%482.3萬
133.97%49.56萬
-272.76%-130.95萬
-1,250.81%-33.5萬
非持續投資現金淨額
投資活動現金流淨額
71.36%-1,619.98萬
158.22%589.47萬
71.12%-1,196.25萬
-2.49%828.38萬
-36.25%-1,841.58萬
38.58%-5,656.48萬
-60.82%-1,012.5萬
31.15%-4,141.84萬
144.56%849.5萬
-105.68%-1,351.64萬
融資活動現金流量
持續融資活動現金淨額
-86.85%1,727.24萬
-16.19%5,560.99萬
-22.93%5,253.62萬
-154.56%-2,677.86萬
-977.63%-6,409.52萬
396.27%1.31億
1,254.92%6,635.07萬
27.66%6,816.7萬
-665.47%-1,051.97萬
123.97%730.32萬
為回購而出售的聯邦基金和證券
-158.68%-744.58萬
-55.20%731.95萬
-943.92%-1,204.93萬
-55.23%179.54萬
50.37%-451.15萬
299.24%1,268.81萬
249.48%1,633.99萬
140.17%142.78萬
237.16%401.01萬
-282.52%-908.97萬
存款的增減
-34.06%6,902.32萬
-13.46%6,236.78萬
-6.82%7,533.43萬
-33.31%-4,669.01萬
-66.42%-2,198.88萬
502.53%1.05億
1,800.79%7,206.47萬
61.62%8,084.79萬
6.27%-3,502.25萬
61.62%-1,321.31萬
債務發行/償還的淨現金流
-307.39%-3,685.91萬
50.81%-1,035.9萬
27.16%-958.37萬
-8.40%1,964.16萬
-219.69%-3,655.8萬
-66.52%1,777.31萬
-490.34%-2,105.72萬
-266.65%-1,315.69萬
-46.18%2,144.34萬
56,150.82%3,054.38萬
普通股發行/償還的淨現金流
---188.32萬
---118.18萬
---15.33萬
---51.28萬
---3.54萬
--0
--0
--0
--0
--0
優先股發行/償還的淨現金流
---150萬
----
----
----
----
--0
----
----
----
----
現金股利支付
-5.89%-406.28萬
-4.01%-103.66萬
-6.32%-101.19萬
-6.53%-101.27萬
-6.80%-100.15萬
-1.08%-383.68萬
-6.49%-99.66萬
1.54%-95.18萬
-1.96%-95.07萬
2.42%-93.78萬
非持續融資活動現金淨額
融資活動現金流淨額
-86.85%1,727.24萬
-16.19%5,560.99萬
-22.93%5,253.62萬
-154.56%-2,677.86萬
-977.63%-6,409.52萬
396.27%1.31億
1,254.92%6,635.07萬
27.66%6,816.7萬
-665.47%-1,051.97萬
123.97%730.32萬
現金淨流量
期初現金流
442.91%1.11億
22.17%6,086.56萬
-21.17%1,452.71萬
81.02%2,881.17萬
442.91%1.11億
-71.28%2,043.45萬
184.17%4,982.1萬
-4.72%1,842.89萬
-57.72%1,591.64萬
-71.28%2,043.45萬
當期現金流變化
-81.08%1,712.16萬
9.94%6,719.62萬
47.61%4,633.85萬
-668.53%-1,428.46萬
-1,717.76%-8,212.85萬
278.49%9,050.57萬
2,005.98%6,111.92萬
1,835.44%3,139.21萬
113.73%251.26萬
86.51%-451.81萬
期末現金流
15.43%1.28億
15.43%1.28億
22.17%6,086.56萬
-21.17%1,452.71萬
81.02%2,881.17萬
442.91%1.11億
442.91%1.11億
184.17%4,982.1萬
-4.72%1,842.89萬
-57.72%1,591.64萬
自由現金流
1.94%1,526.83萬
23.19%611.75萬
9.82%494.46萬
-0.20%409.82萬
-92.30%10.8萬
4.76%1,497.74萬
18.70%496.6萬
-4.04%450.26萬
101.16%410.64萬
-58.51%140.24萬
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
無保留意見
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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 1.77%1,604.9萬16.31%569.15萬24.15%576.48萬-7.21%421.02萬-77.43%38.25萬5.62%1,576.92萬13.78%489.34萬-6.28%464.35萬112.36%453.72萬-52.10%169.5萬
持續經營淨收入 32.93%1,696.8萬13.10%463.6萬52.42%474.68萬48.81%405.98萬24.89%352.55萬-4.97%1,276.45萬15.98%409.91萬-7.38%311.43萬-14.65%272.82萬-15.45%282.29萬
持續經營損益 -47.17%-192.15萬-87.66%-46.02萬-64.46%-63.18萬-61.52%-57.48萬20.48%-25.48萬-9.67%-130.56萬33.85%-24.52萬-84.29%-38.41萬-7.84%-35.59萬-13.87%-32.04萬
折舊和攤銷 1.48%104.52萬5.52%26.3萬3.72%26.57萬-2.43%25.99萬-0.59%25.67萬-3.74%103萬-4.31%24.93萬-3.69%25.62萬-0.22%26.63萬-6.66%25.82萬
遞延稅費 -86.23%4.85萬12,808.92%5.99萬-83.07%2.83萬212.71%6.24萬-161.87%-10.21萬194.32%35.19萬99.55%-471168.47%16.74萬-54.79%1.99萬339.78%16.51萬
其他非現金項目 -86.87%7,61713,920.82%119.63萬-262.21%-37.04萬-226.88%-33.91萬-11.74%-47.92萬-62.20%5.8萬-109.08%-8,656-74.79%22.83萬130.48%26.73萬-1,562.30%-42.89萬
營運資金變動 -401.88%-235.45萬-241.48%-59.5萬110.13%125.62萬-89.33%11.53萬-137.52%-313.09萬257.48%77.99萬277.05%42.06萬21.50%59.78萬288.27%107.97萬-647.83%-131.82萬
-應收款項(增)減 39.96%-13.55萬-24.22%-14.82萬56.04%-1.72萬91.80%103.32萬-65.57%-100.34萬78.14%-22.57萬71.37%-11.93萬93.68%-3.91萬632.88%53.87萬-687.47%-60.6萬
-應付款項及遞延費用(減)增 -271.42%-205.55萬-99.48%3,748-18.26%58.95萬-182.61%-31.58萬-271.16%-233.29萬75.52%119.91萬32.98%72.42萬-37.79%72.12萬150.52%38.23萬-138.09%-62.85萬
-遞延費用變動 -82.60%-13.79萬-194.90%-4.82萬-11.38%-3.19萬-97.33%-2.89萬-81.78%-2.9萬5.47%-7.55萬28.73%-1.63萬1.06%-2.86萬-25.14%-1.46萬2.51%-1.59萬
-其他流動資產變化 -723.34%-29.58萬-297.31%-57.18萬602.60%79.3萬-605.75%-78.58萬449.67%26.88萬147.39%4.75萬36.88%-14.39萬-3.06%11.29萬1,397.22%15.54萬-7,204.16%-7.69萬
-其他流動負債變化 538.83%34.99萬7,248.18%18.89萬60.83%-5.74萬481.88%23.26萬-148.35%-1.42萬-170.34%-7.97萬97.20%-2,642-25.05%-14.64萬-86.91%4萬51.01%2.93萬
-其他營運資本變化 6.91%-7.97萬9.14%-1.94萬10.28%-1.98萬8.24%-2.02萬-0.60%-2.03萬-7.99%-8.57萬-6.56%-2.14萬-12.03%-2.21萬-10.58%-2.2萬-2.75%-2.02萬
非持續經營活動現金流
經營活動現金淨額 1.77%1,604.9萬16.31%569.15萬24.15%576.48萬-7.21%421.02萬-77.43%38.25萬5.62%1,576.92萬13.78%489.34萬-6.28%464.35萬112.36%453.72萬-52.10%169.5萬
投資活動現金流量
持續投資活動現金淨額 71.36%-1,619.98萬158.22%589.47萬71.12%-1,196.25萬-2.49%828.38萬-36.25%-1,841.58萬38.58%-5,656.48萬-60.82%-1,012.5萬31.15%-4,141.84萬144.56%849.5萬-105.68%-1,351.64萬
投資產品交易淨現金流 -6.76%2,294.27萬9,505.27%889萬-8.65%911.09萬65.58%1,055.41萬-168.72%-561.23萬224.07%2,460.7萬-86.82%9.26萬1,314.78%997.39萬53.31%637.4萬129.77%816.65萬
貸款淨收益 54.72%-3,805.81萬75.22%-374.47萬60.54%-2,041.71萬-139.05%-150.78萬41.16%-1,238.86萬13.54%-8,405.41萬-119.53%-1,511.31萬10.19%-5,174.7萬116.95%386.13萬-111.78%-2,105.53萬
資本支出 1.39%-78.08萬487.09%42.59萬-482.08%-82.02萬74.00%-11.2萬6.20%-27.45萬-24.99%-79.18萬161.91%7.26萬46.25%-14.09萬-352.73%-43.08萬-84.09%-29.27萬
其他投資活動的淨現金流 -108.27%-30.37萬-93.29%32.35萬-66.95%16.38萬50.32%-65.05萬58.06%-14.05萬229.75%367.41萬583.99%482.3萬133.97%49.56萬-272.76%-130.95萬-1,250.81%-33.5萬
非持續投資現金淨額
投資活動現金流淨額 71.36%-1,619.98萬158.22%589.47萬71.12%-1,196.25萬-2.49%828.38萬-36.25%-1,841.58萬38.58%-5,656.48萬-60.82%-1,012.5萬31.15%-4,141.84萬144.56%849.5萬-105.68%-1,351.64萬
融資活動現金流量
持續融資活動現金淨額 -86.85%1,727.24萬-16.19%5,560.99萬-22.93%5,253.62萬-154.56%-2,677.86萬-977.63%-6,409.52萬396.27%1.31億1,254.92%6,635.07萬27.66%6,816.7萬-665.47%-1,051.97萬123.97%730.32萬
為回購而出售的聯邦基金和證券 -158.68%-744.58萬-55.20%731.95萬-943.92%-1,204.93萬-55.23%179.54萬50.37%-451.15萬299.24%1,268.81萬249.48%1,633.99萬140.17%142.78萬237.16%401.01萬-282.52%-908.97萬
存款的增減 -34.06%6,902.32萬-13.46%6,236.78萬-6.82%7,533.43萬-33.31%-4,669.01萬-66.42%-2,198.88萬502.53%1.05億1,800.79%7,206.47萬61.62%8,084.79萬6.27%-3,502.25萬61.62%-1,321.31萬
債務發行/償還的淨現金流 -307.39%-3,685.91萬50.81%-1,035.9萬27.16%-958.37萬-8.40%1,964.16萬-219.69%-3,655.8萬-66.52%1,777.31萬-490.34%-2,105.72萬-266.65%-1,315.69萬-46.18%2,144.34萬56,150.82%3,054.38萬
普通股發行/償還的淨現金流 ---188.32萬---118.18萬---15.33萬---51.28萬---3.54萬--0--0--0--0--0
優先股發行/償還的淨現金流 ---150萬------------------0----------------
現金股利支付 -5.89%-406.28萬-4.01%-103.66萬-6.32%-101.19萬-6.53%-101.27萬-6.80%-100.15萬-1.08%-383.68萬-6.49%-99.66萬1.54%-95.18萬-1.96%-95.07萬2.42%-93.78萬
非持續融資活動現金淨額
融資活動現金流淨額 -86.85%1,727.24萬-16.19%5,560.99萬-22.93%5,253.62萬-154.56%-2,677.86萬-977.63%-6,409.52萬396.27%1.31億1,254.92%6,635.07萬27.66%6,816.7萬-665.47%-1,051.97萬123.97%730.32萬
現金淨流量
期初現金流 442.91%1.11億22.17%6,086.56萬-21.17%1,452.71萬81.02%2,881.17萬442.91%1.11億-71.28%2,043.45萬184.17%4,982.1萬-4.72%1,842.89萬-57.72%1,591.64萬-71.28%2,043.45萬
當期現金流變化 -81.08%1,712.16萬9.94%6,719.62萬47.61%4,633.85萬-668.53%-1,428.46萬-1,717.76%-8,212.85萬278.49%9,050.57萬2,005.98%6,111.92萬1,835.44%3,139.21萬113.73%251.26萬86.51%-451.81萬
期末現金流 15.43%1.28億15.43%1.28億22.17%6,086.56萬-21.17%1,452.71萬81.02%2,881.17萬442.91%1.11億442.91%1.11億184.17%4,982.1萬-4.72%1,842.89萬-57.72%1,591.64萬
自由現金流 1.94%1,526.83萬23.19%611.75萬9.82%494.46萬-0.20%409.82萬-92.30%10.8萬4.76%1,497.74萬18.70%496.6萬-4.04%450.26萬101.16%410.64萬-58.51%140.24萬
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