美股市場個股詳情

大眾信託合眾銀行 (CTBI)

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  • 65.370
  • +1.350+2.11%
收盤價 05/18 15:59 (美東)
  • 65.370
  • 0.0000.00%
盤後 16:41 (美東)
11.87億總市值11.45市盈率TTM

大眾信託合眾銀行 (CTBI) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(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
經營活動現金流量(間接法)
持續經營活動現金淨額
7.92%3,947.9萬
-0.32%1.05億
-33.43%1,494萬
2.21%3,753.8萬
-20.23%1,593.1萬
39.71%3,658.2萬
22.69%1.05億
11.75%2,244.3萬
46.08%3,672.8萬
29.25%1,997.1萬
持續經營淨收入
23.76%2,719.2萬
18.41%9,805.8萬
21.26%2,727.6萬
7.99%2,391.1萬
27.69%2,489.9萬
17.63%2,197.2萬
6.17%8,281.3萬
20.55%2,249.3萬
7.34%2,214.2萬
0.49%1,949.9萬
持續經營損益
-32.00%-3.3萬
-144.31%-98.7萬
-1,029.31%-65.5萬
15.04%-9.6萬
-42.57%-21.1萬
70.59%-2.5萬
49.94%-40.4萬
30.95%-5.8萬
28.48%-11.3萬
63.28%-14.8萬
折舊和攤銷
6.30%148.4萬
14.99%575.3萬
21.40%150.9萬
6.42%142.6萬
7.73%142.2萬
26.91%139.6萬
-6.50%500.3萬
-5.62%124.3萬
-9.03%134萬
-20.19%132萬
遞延稅費
118.71%94.7萬
-69.98%-294.4萬
39.40%-120.1萬
-98,800.00%-98.9萬
-23,840.00%-118.7萬
76.02%43.3萬
-344.29%-173.2萬
-525.32%-198.2萬
-200.00%-1,000
-64.29%5,000
其他非現金項目
-145.04%-150.7萬
19.95%-357.1萬
41.39%-68.4萬
-268.55%-91.4萬
29.49%-135.8萬
45.09%-61.5萬
-68.47%-446.1萬
-416.37%-116.7萬
76.60%-24.8萬
-60.37%-192.6萬
營運資金變動
-17.93%755.5萬
-179.88%-779.3萬
-1,225.46%-1,515萬
-12.29%880.5萬
-228.90%-1,065.3萬
124.57%920.5萬
294.23%975.6萬
55.59%-114.3萬
522.00%1,003.9萬
53.72%-323.9萬
-應收款項(增)減
-49.59%36.6萬
-1.35%-119.9萬
16.50%-82.5萬
-200.74%-67.7萬
53.52%-42.3萬
1,588.37%72.6萬
70.30%-118.3萬
53.13%-98.8萬
155.54%67.2萬
26.91%-91萬
-應付款項及遞延費用(減)增
20.27%303.2萬
-84.13%15.7萬
-34.43%-1,065.5萬
0.37%405.9萬
46.18%423.2萬
27.58%252.1萬
-80.80%98.9萬
-865.41%-792.6萬
56.38%404.4萬
94.82%289.5萬
-其他流動資產變化
-132.07%-17.8萬
-627.32%-1,028.8萬
-279.14%-859萬
-106.49%-13.1萬
22.30%-212.2萬
126.04%55.5萬
174.18%195.1萬
63.60%479.5萬
148.74%201.8萬
-257.93%-273.1萬
-其他流動負債變化
-19.77%433.5萬
-55.78%353.7萬
65.32%492萬
68.05%555.4萬
-394.99%-1,234萬
28.31%540.3萬
324.56%799.9萬
215.53%297.6萬
-24.51%330.5萬
61.51%-249.3萬
非持續經營活動現金流
經營活動現金淨額
7.92%3,947.9萬
-0.32%1.05億
-33.43%1,494萬
2.21%3,753.8萬
-20.23%1,593.1萬
39.71%3,658.2萬
22.69%1.05億
11.75%2,244.3萬
46.08%3,672.8萬
29.25%1,997.1萬
投資活動現金流量
持續投資活動現金淨額
32.89%-7,022.4萬
-38.00%-4.63億
-42.37%-1.77億
-113.35%-1.28億
37.86%-5,341.8萬
-60.26%-1.05億
-48.14%-3.36億
-152.86%-1.24億
-170.23%-6,004萬
32.63%-8,596.7萬
其他金融機構的計息存款收益
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投資產品交易淨現金流
-56.05%2,768萬
-120.38%-2,282.8萬
-515.81%-7,504.9萬
-215.15%-3,095.2萬
-0.12%2,018.6萬
34.30%6,298.7萬
-11.58%1.12億
-19.18%1,804.9萬
-29.21%2,688萬
-25.96%2,021萬
貸款淨收益
36.14%-9,752.2萬
5.95%-4.18億
26.28%-1.03億
-4.81%-9,508.7萬
34.38%-6,684.9萬
-36.64%-1.53億
-29.01%-4.44億
-109.28%-1.4億
-59.67%-9,072.4萬
33.34%-1.02億
固定資產交易的淨現金流
25.23%-155.3萬
18.94%-649.1萬
70.76%-88.7萬
8.04%-116.7萬
-54.86%-236萬
4.77%-207.7萬
-34.66%-800.8萬
-139.09%-303.4萬
56.14%-126.9萬
-74.17%-152.4萬
其他投資活動的淨現金流
109.13%117.1萬
-473.11%-1,626萬
502.92%185.7萬
-117.56%-89.1萬
-57.87%-439.5萬
-828.62%-1,283.1萬
238.70%435.8萬
108.81%30.8萬
1,168.00%507.3萬
-127.45%-278.4萬
非持續投資現金淨額
投資活動現金流淨額
32.89%-7,022.4萬
-38.00%-4.63億
-42.37%-1.77億
-113.35%-1.28億
37.86%-5,341.8萬
-60.26%-1.05億
-48.14%-3.36億
-152.86%-1.24億
-170.23%-6,004萬
32.63%-8,596.7萬
融資活動現金流量
持續融資活動現金淨額
-34.43%2,571.6萬
7.29%3.52億
-92.11%1,818.4萬
97.77%2.03億
240.33%9,211.2萬
-35.71%3,921.9萬
15.87%3.28億
183.71%2.3億
-3.93%1.03億
-363.30%-6,564.1萬
為回購而出售的聯邦基金和證券
-257.72%-1,007.8萬
359.98%6,863.3萬
249.84%2,393.6萬
940.15%5,978.8萬
-202.76%-2,148.1萬
-32.21%639萬
52.04%1,492.1萬
193.32%684.2萬
61.60%574.8萬
-135.05%-709.5萬
存款的增減
9.84%4,516.2萬
-7.73%3.19億
-98.45%359.7萬
45.94%1.52億
341.13%1.22億
-31.07%4,111.6萬
15.78%3.46億
139.77%2.32億
-6.08%1.04億
-88.58%-5,047.2萬
債務發行/償還的淨現金流
-19.61%-12.2萬
-9.27%-43.6萬
-16.67%-11.9萬
-14.14%-11.3萬
-3.03%-10.2萬
-3.03%-10.2萬
-106.41%-39.9萬
51.89%-10.2萬
-67.80%-9.9萬
-67.80%-9.9萬
普通股發行/償還的淨現金流
17.75%32.5萬
-25.20%132.4萬
10.18%30.3萬
-68.69%28.9萬
62.28%45.6萬
-5.15%27.6萬
56.78%177萬
-5.82%27.5萬
230.82%92.3萬
0.36%28.1萬
現金股利支付
-13.12%-957.1萬
-7.71%-3,598.2萬
-12.86%-953.3萬
-12.78%-952.4萬
-2.52%-846.4萬
-2.45%-846.1萬
-3.79%-3,340.7萬
-2.59%-844.7萬
-2.74%-844.5萬
-4.93%-825.6萬
非持續融資活動現金淨額
融資活動現金流淨額
-34.43%2,571.6萬
7.29%3.52億
-92.11%1,818.4萬
97.77%2.03億
240.33%9,211.2萬
-35.71%3,921.9萬
15.87%3.28億
183.71%2.3億
-3.93%1.03億
-363.30%-6,564.1萬
現金淨流量
期初現金流
-1.58%3.64億
36.15%3.7億
110.68%5.08億
144.52%3.95億
16.15%3.41億
36.15%3.7億
110.90%2.71億
9.89%2.41億
47.57%1.62億
24.35%2.93億
當期現金流變化
82.56%-502.9萬
-105.93%-582.1萬
-211.96%-1.44億
41.69%1.12億
141.50%5,462.5萬
-231.70%-2,884萬
-31.26%9,810.5萬
146.57%1.29億
-27.74%7,927.9萬
-4.20%-1.32億
期末現金流
5.28%3.59億
-1.58%3.64億
-1.58%3.64億
110.68%5.08億
144.52%3.95億
16.15%3.41億
36.15%3.7億
36.15%3.7億
9.89%2.41億
47.57%1.62億
自由現金流
9.91%3,792.6萬
0.14%9,738.8萬
-33.22%1,296.2萬
2.72%3,635萬
-26.43%1,357.1萬
43.75%3,450.5萬
22.28%9,724.8萬
3.30%1,940.9萬
59.44%3,538.9萬
29.18%1,844.7萬
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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--
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(Q1)2026/03/31(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
經營活動現金流量(間接法)
持續經營活動現金淨額 7.92%3,947.9萬-0.32%1.05億-33.43%1,494萬2.21%3,753.8萬-20.23%1,593.1萬39.71%3,658.2萬22.69%1.05億11.75%2,244.3萬46.08%3,672.8萬29.25%1,997.1萬
持續經營淨收入 23.76%2,719.2萬18.41%9,805.8萬21.26%2,727.6萬7.99%2,391.1萬27.69%2,489.9萬17.63%2,197.2萬6.17%8,281.3萬20.55%2,249.3萬7.34%2,214.2萬0.49%1,949.9萬
持續經營損益 -32.00%-3.3萬-144.31%-98.7萬-1,029.31%-65.5萬15.04%-9.6萬-42.57%-21.1萬70.59%-2.5萬49.94%-40.4萬30.95%-5.8萬28.48%-11.3萬63.28%-14.8萬
折舊和攤銷 6.30%148.4萬14.99%575.3萬21.40%150.9萬6.42%142.6萬7.73%142.2萬26.91%139.6萬-6.50%500.3萬-5.62%124.3萬-9.03%134萬-20.19%132萬
遞延稅費 118.71%94.7萬-69.98%-294.4萬39.40%-120.1萬-98,800.00%-98.9萬-23,840.00%-118.7萬76.02%43.3萬-344.29%-173.2萬-525.32%-198.2萬-200.00%-1,000-64.29%5,000
其他非現金項目 -145.04%-150.7萬19.95%-357.1萬41.39%-68.4萬-268.55%-91.4萬29.49%-135.8萬45.09%-61.5萬-68.47%-446.1萬-416.37%-116.7萬76.60%-24.8萬-60.37%-192.6萬
營運資金變動 -17.93%755.5萬-179.88%-779.3萬-1,225.46%-1,515萬-12.29%880.5萬-228.90%-1,065.3萬124.57%920.5萬294.23%975.6萬55.59%-114.3萬522.00%1,003.9萬53.72%-323.9萬
-應收款項(增)減 -49.59%36.6萬-1.35%-119.9萬16.50%-82.5萬-200.74%-67.7萬53.52%-42.3萬1,588.37%72.6萬70.30%-118.3萬53.13%-98.8萬155.54%67.2萬26.91%-91萬
-應付款項及遞延費用(減)增 20.27%303.2萬-84.13%15.7萬-34.43%-1,065.5萬0.37%405.9萬46.18%423.2萬27.58%252.1萬-80.80%98.9萬-865.41%-792.6萬56.38%404.4萬94.82%289.5萬
-其他流動資產變化 -132.07%-17.8萬-627.32%-1,028.8萬-279.14%-859萬-106.49%-13.1萬22.30%-212.2萬126.04%55.5萬174.18%195.1萬63.60%479.5萬148.74%201.8萬-257.93%-273.1萬
-其他流動負債變化 -19.77%433.5萬-55.78%353.7萬65.32%492萬68.05%555.4萬-394.99%-1,234萬28.31%540.3萬324.56%799.9萬215.53%297.6萬-24.51%330.5萬61.51%-249.3萬
非持續經營活動現金流
經營活動現金淨額 7.92%3,947.9萬-0.32%1.05億-33.43%1,494萬2.21%3,753.8萬-20.23%1,593.1萬39.71%3,658.2萬22.69%1.05億11.75%2,244.3萬46.08%3,672.8萬29.25%1,997.1萬
投資活動現金流量
持續投資活動現金淨額 32.89%-7,022.4萬-38.00%-4.63億-42.37%-1.77億-113.35%-1.28億37.86%-5,341.8萬-60.26%-1.05億-48.14%-3.36億-152.86%-1.24億-170.23%-6,004萬32.63%-8,596.7萬
其他金融機構的計息存款收益 ------0------------------0------------
投資產品交易淨現金流 -56.05%2,768萬-120.38%-2,282.8萬-515.81%-7,504.9萬-215.15%-3,095.2萬-0.12%2,018.6萬34.30%6,298.7萬-11.58%1.12億-19.18%1,804.9萬-29.21%2,688萬-25.96%2,021萬
貸款淨收益 36.14%-9,752.2萬5.95%-4.18億26.28%-1.03億-4.81%-9,508.7萬34.38%-6,684.9萬-36.64%-1.53億-29.01%-4.44億-109.28%-1.4億-59.67%-9,072.4萬33.34%-1.02億
固定資產交易的淨現金流 25.23%-155.3萬18.94%-649.1萬70.76%-88.7萬8.04%-116.7萬-54.86%-236萬4.77%-207.7萬-34.66%-800.8萬-139.09%-303.4萬56.14%-126.9萬-74.17%-152.4萬
其他投資活動的淨現金流 109.13%117.1萬-473.11%-1,626萬502.92%185.7萬-117.56%-89.1萬-57.87%-439.5萬-828.62%-1,283.1萬238.70%435.8萬108.81%30.8萬1,168.00%507.3萬-127.45%-278.4萬
非持續投資現金淨額
投資活動現金流淨額 32.89%-7,022.4萬-38.00%-4.63億-42.37%-1.77億-113.35%-1.28億37.86%-5,341.8萬-60.26%-1.05億-48.14%-3.36億-152.86%-1.24億-170.23%-6,004萬32.63%-8,596.7萬
融資活動現金流量
持續融資活動現金淨額 -34.43%2,571.6萬7.29%3.52億-92.11%1,818.4萬97.77%2.03億240.33%9,211.2萬-35.71%3,921.9萬15.87%3.28億183.71%2.3億-3.93%1.03億-363.30%-6,564.1萬
為回購而出售的聯邦基金和證券 -257.72%-1,007.8萬359.98%6,863.3萬249.84%2,393.6萬940.15%5,978.8萬-202.76%-2,148.1萬-32.21%639萬52.04%1,492.1萬193.32%684.2萬61.60%574.8萬-135.05%-709.5萬
存款的增減 9.84%4,516.2萬-7.73%3.19億-98.45%359.7萬45.94%1.52億341.13%1.22億-31.07%4,111.6萬15.78%3.46億139.77%2.32億-6.08%1.04億-88.58%-5,047.2萬
債務發行/償還的淨現金流 -19.61%-12.2萬-9.27%-43.6萬-16.67%-11.9萬-14.14%-11.3萬-3.03%-10.2萬-3.03%-10.2萬-106.41%-39.9萬51.89%-10.2萬-67.80%-9.9萬-67.80%-9.9萬
普通股發行/償還的淨現金流 17.75%32.5萬-25.20%132.4萬10.18%30.3萬-68.69%28.9萬62.28%45.6萬-5.15%27.6萬56.78%177萬-5.82%27.5萬230.82%92.3萬0.36%28.1萬
現金股利支付 -13.12%-957.1萬-7.71%-3,598.2萬-12.86%-953.3萬-12.78%-952.4萬-2.52%-846.4萬-2.45%-846.1萬-3.79%-3,340.7萬-2.59%-844.7萬-2.74%-844.5萬-4.93%-825.6萬
非持續融資活動現金淨額
融資活動現金流淨額 -34.43%2,571.6萬7.29%3.52億-92.11%1,818.4萬97.77%2.03億240.33%9,211.2萬-35.71%3,921.9萬15.87%3.28億183.71%2.3億-3.93%1.03億-363.30%-6,564.1萬
現金淨流量
期初現金流 -1.58%3.64億36.15%3.7億110.68%5.08億144.52%3.95億16.15%3.41億36.15%3.7億110.90%2.71億9.89%2.41億47.57%1.62億24.35%2.93億
當期現金流變化 82.56%-502.9萬-105.93%-582.1萬-211.96%-1.44億41.69%1.12億141.50%5,462.5萬-231.70%-2,884萬-31.26%9,810.5萬146.57%1.29億-27.74%7,927.9萬-4.20%-1.32億
期末現金流 5.28%3.59億-1.58%3.64億-1.58%3.64億110.68%5.08億144.52%3.95億16.15%3.41億36.15%3.7億36.15%3.7億9.89%2.41億47.57%1.62億
自由現金流 9.91%3,792.6萬0.14%9,738.8萬-33.22%1,296.2萬2.72%3,635萬-26.43%1,357.1萬43.75%3,450.5萬22.28%9,724.8萬3.30%1,940.9萬59.44%3,538.9萬29.18%1,844.7萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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