美股市場個股詳情

Equity Bancshares (EQBK)

添加自選
  • 45.790
  • -0.070-0.15%
收盤價 05/07 16:00 (美東)
  • 45.790
  • 0.0000.00%
盤後 17:41 (美東)
9.51億總市值38.81市盈率TTM

Equity Bancshares (EQBK) 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
-30.44%5,136.5萬
-132.50%-705.1萬
-63.91%847.3萬
76.31%2,826.3萬
71.53%2,168萬
-3.50%7,384.5萬
67.27%2,169.8萬
-6.45%2,347.8萬
-17.06%1,603萬
-33.94%1,263.9萬
持續經營淨收入
-63.71%2,272.6萬
30.01%2,208.4萬
-249.43%-2,966.3萬
30.28%1,526.4萬
6.92%1,504.1萬
700.68%6,262.1萬
160.02%1,698.6萬
60.85%1,985.1萬
2.27%1,171.6萬
14.16%1,406.8萬
持續經營損益
5,893.38%5,341.5萬
-1.55%-32.7萬
13,601.53%5,306.1萬
214.91%107.1萬
-153.79%-39萬
-101.79%-92.2萬
-100.64%-32.2萬
14.94%-39.3萬
-170.61%-93.2萬
1,868.29%72.5萬
折舊和攤銷
10.66%1,135.4萬
18.29%306.6萬
12.86%296.7萬
-1.04%265.9萬
13.18%266.2萬
18.78%1,026萬
24.32%259.2萬
23.54%262.9萬
21.15%268.7萬
6.57%235.2萬
遞延稅費
-741.33%-510.5萬
-234.64%-505.3萬
171.97%107.6萬
-890.64%-135.2萬
113.72%22.4萬
132.69%79.6萬
210.77%375.3萬
-383.68%-149.5萬
-74.89%17.1萬
-540.39%-163.3萬
其他非現金項目
-2.82%-1,485.2萬
-137.62%-484.5萬
59.40%-392.4萬
13.84%-199.2萬
-853.61%-409.1萬
-191.68%-1,444.4萬
-129.62%-203.9萬
-1,909.74%-966.4萬
4.90%-231.2萬
80.20%-42.9萬
營運資金變動
-321.72%-2,640萬
-15,114.49%-2,099.6萬
-295.05%-2,177.1萬
165.66%1,183.5萬
226.88%453.2萬
68.51%1,190.7萬
98.51%-13.8萬
55.70%1,116.2萬
9.46%445.5萬
-170.33%-357.2萬
-應收款項(增)減
510.42%252萬
438.64%174.4萬
-243.35%-190.9萬
1,663.89%56.3萬
330.43%212.2萬
87.38%-61.4萬
72.55%-51.5萬
75.41%-55.6萬
96.00%-3.6萬
191.72%49.3萬
-應付款項及遞延費用(減)增
-949.04%-1,101.2萬
224.09%364.6萬
-364.17%-1,267.5萬
-151.64%-71萬
78.79%-127.3萬
-77.51%129.7萬
508.11%112.5萬
15.75%479.8萬
85.06%137.5萬
-964.70%-600.1萬
-其他流動資產變化
-259.55%-1,790.8萬
-3,427.54%-2,638.6萬
-203.86%-718.7萬
284.53%1,198.2萬
90.24%368.3萬
82.03%1,122.4萬
90.11%-74.8萬
30.94%692萬
-26.27%311.6萬
-54.08%193.6萬
非持續經營活動現金流
經營活動現金淨額
-30.44%5,136.5萬
-132.50%-705.1萬
-63.91%847.3萬
76.31%2,826.3萬
71.53%2,168萬
-3.50%7,384.5萬
67.27%2,169.8萬
-6.45%2,347.8萬
-17.06%1,603萬
-33.94%1,263.9萬
投資活動現金流量
持續投資活動現金淨額
10.66%1.37億
-142.82%-6,661.4萬
513.33%2.51億
-55.94%1,038.9萬
-1,193.16%-5,781.7萬
-46.71%1.24億
39.45%1.56億
-218.23%-6,071.6萬
-73.05%2,358.1萬
128.99%528.9萬
其他金融機構的計息存款收益
---9,000
--0
----
----
----
--0
--0
----
----
----
投資產品交易淨現金流
-76.63%2,358.3萬
-916.93%-1.31億
96.47%1.03億
-135.64%-1,635.8萬
606.67%6,798萬
-62.21%1.01億
-90.36%1,603.7萬
235.71%5,241.1萬
-35.02%4,589.9萬
-192.75%-1,341.7萬
貸款淨收益
4.26%-3,145萬
-26.92%6,968.3萬
98.40%-190.7萬
21.89%3,115.4萬
-275.24%-1.3億
-31.66%-3,285萬
283.04%9,535.6萬
-401.11%-1.19億
296.96%2,556萬
-84.61%-3,474.6萬
資本支出
--0
----
----
----
----
--0
--0
----
----
----
固定資產交易的淨現金流
-64.44%-1,280.5萬
-57.77%-548.4萬
-7.68%-402.5萬
-247.00%-210.5萬
40.60%-119.1萬
49.47%-778.7萬
-4.98%-347.6萬
28.51%-373.8萬
157.21%143.2萬
54.11%-200.5萬
業務交易的淨現金流
141.95%1.5億
--0
----
----
--0
--6,217.5萬
----
----
----
--6,091.4萬
其他投資活動的淨現金流
468.44%716.8萬
101.36%19.8萬
-63.68%349.8萬
-119.84%-230.2萬
205.81%577.4萬
-79.13%126.1萬
-2,386.14%-1,451.7萬
380.59%963.1萬
-10.20%1,160.4萬
42.68%-545.7萬
非持續投資現金淨額
投資活動現金流淨額
10.66%1.37億
-142.82%-6,661.4萬
513.33%2.51億
-55.94%1,038.9萬
-1,193.16%-5,781.7萬
-46.71%1.24億
39.45%1.56億
-218.23%-6,071.6萬
-73.05%2,358.1萬
128.99%528.9萬
融資活動現金流量
持續融資活動現金淨額
118.55%3,578.7萬
38.20%-1,792.8萬
492.32%7,377.3萬
-622.90%-1.04億
151.71%8,377.2萬
-467.00%-1.93億
-152.23%-2,900.9萬
108.01%1,245.5萬
81.84%-1,436.3萬
-211.69%-1.62億
為回購而出售的聯邦基金和證券
87.93%-192.4萬
-148.00%-235.6萬
304.55%125.8萬
93.91%-35.2萬
94.48%-47.4萬
-450.21%-1,593.4萬
-124.48%-95萬
87.87%-61.5萬
-1,662.20%-578萬
-522.39%-858.9萬
存款的增減
73.72%-4,285萬
268.37%4,340.1萬
355.88%5,367.6萬
-475.98%-1.7億
124.59%3,055.6萬
-69.06%-1.63億
-81.39%1,178.2萬
85.90%-2,097.7萬
47.17%-2,959.9萬
-375.52%-1.24億
債務發行/償還的淨現金流
269.94%1.18億
64.91%-4,137.7萬
-23.14%2,916.7萬
136.85%7,194.2萬
392.30%5,866.1萬
-168.88%-6,966.7萬
---1.18億
--3,795萬
370.67%3,037.5萬
-117.86%-2,006.9萬
普通股發行/償還的淨現金流
-118.72%-1,405.9萬
-108.26%-718.5萬
---652.7萬
94.63%-27.4萬
98.92%-7.3萬
519.67%7,512.1萬
32,922.64%8,698萬
--0
37.59%-510.1萬
29.55%-675.8萬
現金股利支付
-44.67%-1,141.7萬
-50.15%-344.6萬
-40.21%-262.9萬
-46.50%-263.4萬
-40.75%-270.8萬
-19.32%-789.2萬
-23.92%-229.5萬
-21.44%-187.5萬
-14.09%-179.8萬
-17.17%-192.4萬
職工行使股票期權收到的現金
-71.69%119.8萬
-91.21%13.3萬
-75.38%50.7萬
-69.96%7.9萬
20.65%47.9萬
328.77%423.2萬
704.79%151.3萬
503.81%205.9萬
--26.3萬
-13.32%39.7萬
其他融資活動的淨現金流額
13.93%-1,355.4萬
12.54%-709.8萬
58.92%-167.9萬
22.59%-210.8萬
-224.70%-266.9萬
-28.00%-1,574.8萬
16.36%-811.6萬
-593.89%-408.7萬
-54.37%-272.3萬
-234.15%-82.2萬
非持續融資活動現金淨額
融資活動現金流淨額
118.55%3,578.7萬
38.20%-1,792.8萬
492.32%7,377.3萬
-622.90%-1.04億
151.71%8,377.2萬
-467.00%-1.93億
-152.23%-2,900.9萬
108.01%1,245.5萬
81.84%-1,436.3萬
-211.69%-1.62億
現金淨流量
期初現金流
1.23%3.84億
197.01%6.99億
40.70%3.66億
83.55%4.31億
1.23%3.84億
263.02%3.79億
18.32%2.35億
-6.41%2.6億
-6.13%2.35億
263.02%3.79億
當期現金流變化
4,720.78%2.24億
-161.78%-9,159.3萬
1,444.49%3.33億
-358.15%-6,517.8萬
133.06%4,763.5萬
-98.31%464.8萬
-17.67%1.48億
68.66%-2,478.3萬
-8.96%2,524.8萬
-198.73%-1.44億
期末現金流
58.39%6.08億
58.39%6.08億
197.01%6.99億
40.70%3.66億
83.55%4.31億
1.23%3.84億
1.23%3.84億
18.32%2.35億
-6.41%2.6億
-6.13%2.35億
自由現金流
-41.68%3,811.2萬
-163.15%-1,253.6萬
-77.40%445.1萬
71.11%2,598.1萬
90.23%2,021.6萬
8.22%6,535.2萬
108.14%1,985萬
2.00%1,969.1萬
-9.75%1,518.4萬
-27.83%1,062.7萬
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
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 -30.44%5,136.5萬-132.50%-705.1萬-63.91%847.3萬76.31%2,826.3萬71.53%2,168萬-3.50%7,384.5萬67.27%2,169.8萬-6.45%2,347.8萬-17.06%1,603萬-33.94%1,263.9萬
持續經營淨收入 -63.71%2,272.6萬30.01%2,208.4萬-249.43%-2,966.3萬30.28%1,526.4萬6.92%1,504.1萬700.68%6,262.1萬160.02%1,698.6萬60.85%1,985.1萬2.27%1,171.6萬14.16%1,406.8萬
持續經營損益 5,893.38%5,341.5萬-1.55%-32.7萬13,601.53%5,306.1萬214.91%107.1萬-153.79%-39萬-101.79%-92.2萬-100.64%-32.2萬14.94%-39.3萬-170.61%-93.2萬1,868.29%72.5萬
折舊和攤銷 10.66%1,135.4萬18.29%306.6萬12.86%296.7萬-1.04%265.9萬13.18%266.2萬18.78%1,026萬24.32%259.2萬23.54%262.9萬21.15%268.7萬6.57%235.2萬
遞延稅費 -741.33%-510.5萬-234.64%-505.3萬171.97%107.6萬-890.64%-135.2萬113.72%22.4萬132.69%79.6萬210.77%375.3萬-383.68%-149.5萬-74.89%17.1萬-540.39%-163.3萬
其他非現金項目 -2.82%-1,485.2萬-137.62%-484.5萬59.40%-392.4萬13.84%-199.2萬-853.61%-409.1萬-191.68%-1,444.4萬-129.62%-203.9萬-1,909.74%-966.4萬4.90%-231.2萬80.20%-42.9萬
營運資金變動 -321.72%-2,640萬-15,114.49%-2,099.6萬-295.05%-2,177.1萬165.66%1,183.5萬226.88%453.2萬68.51%1,190.7萬98.51%-13.8萬55.70%1,116.2萬9.46%445.5萬-170.33%-357.2萬
-應收款項(增)減 510.42%252萬438.64%174.4萬-243.35%-190.9萬1,663.89%56.3萬330.43%212.2萬87.38%-61.4萬72.55%-51.5萬75.41%-55.6萬96.00%-3.6萬191.72%49.3萬
-應付款項及遞延費用(減)增 -949.04%-1,101.2萬224.09%364.6萬-364.17%-1,267.5萬-151.64%-71萬78.79%-127.3萬-77.51%129.7萬508.11%112.5萬15.75%479.8萬85.06%137.5萬-964.70%-600.1萬
-其他流動資產變化 -259.55%-1,790.8萬-3,427.54%-2,638.6萬-203.86%-718.7萬284.53%1,198.2萬90.24%368.3萬82.03%1,122.4萬90.11%-74.8萬30.94%692萬-26.27%311.6萬-54.08%193.6萬
非持續經營活動現金流
經營活動現金淨額 -30.44%5,136.5萬-132.50%-705.1萬-63.91%847.3萬76.31%2,826.3萬71.53%2,168萬-3.50%7,384.5萬67.27%2,169.8萬-6.45%2,347.8萬-17.06%1,603萬-33.94%1,263.9萬
投資活動現金流量
持續投資活動現金淨額 10.66%1.37億-142.82%-6,661.4萬513.33%2.51億-55.94%1,038.9萬-1,193.16%-5,781.7萬-46.71%1.24億39.45%1.56億-218.23%-6,071.6萬-73.05%2,358.1萬128.99%528.9萬
其他金融機構的計息存款收益 ---9,000--0--------------0--0------------
投資產品交易淨現金流 -76.63%2,358.3萬-916.93%-1.31億96.47%1.03億-135.64%-1,635.8萬606.67%6,798萬-62.21%1.01億-90.36%1,603.7萬235.71%5,241.1萬-35.02%4,589.9萬-192.75%-1,341.7萬
貸款淨收益 4.26%-3,145萬-26.92%6,968.3萬98.40%-190.7萬21.89%3,115.4萬-275.24%-1.3億-31.66%-3,285萬283.04%9,535.6萬-401.11%-1.19億296.96%2,556萬-84.61%-3,474.6萬
資本支出 --0------------------0--0------------
固定資產交易的淨現金流 -64.44%-1,280.5萬-57.77%-548.4萬-7.68%-402.5萬-247.00%-210.5萬40.60%-119.1萬49.47%-778.7萬-4.98%-347.6萬28.51%-373.8萬157.21%143.2萬54.11%-200.5萬
業務交易的淨現金流 141.95%1.5億--0----------0--6,217.5萬--------------6,091.4萬
其他投資活動的淨現金流 468.44%716.8萬101.36%19.8萬-63.68%349.8萬-119.84%-230.2萬205.81%577.4萬-79.13%126.1萬-2,386.14%-1,451.7萬380.59%963.1萬-10.20%1,160.4萬42.68%-545.7萬
非持續投資現金淨額
投資活動現金流淨額 10.66%1.37億-142.82%-6,661.4萬513.33%2.51億-55.94%1,038.9萬-1,193.16%-5,781.7萬-46.71%1.24億39.45%1.56億-218.23%-6,071.6萬-73.05%2,358.1萬128.99%528.9萬
融資活動現金流量
持續融資活動現金淨額 118.55%3,578.7萬38.20%-1,792.8萬492.32%7,377.3萬-622.90%-1.04億151.71%8,377.2萬-467.00%-1.93億-152.23%-2,900.9萬108.01%1,245.5萬81.84%-1,436.3萬-211.69%-1.62億
為回購而出售的聯邦基金和證券 87.93%-192.4萬-148.00%-235.6萬304.55%125.8萬93.91%-35.2萬94.48%-47.4萬-450.21%-1,593.4萬-124.48%-95萬87.87%-61.5萬-1,662.20%-578萬-522.39%-858.9萬
存款的增減 73.72%-4,285萬268.37%4,340.1萬355.88%5,367.6萬-475.98%-1.7億124.59%3,055.6萬-69.06%-1.63億-81.39%1,178.2萬85.90%-2,097.7萬47.17%-2,959.9萬-375.52%-1.24億
債務發行/償還的淨現金流 269.94%1.18億64.91%-4,137.7萬-23.14%2,916.7萬136.85%7,194.2萬392.30%5,866.1萬-168.88%-6,966.7萬---1.18億--3,795萬370.67%3,037.5萬-117.86%-2,006.9萬
普通股發行/償還的淨現金流 -118.72%-1,405.9萬-108.26%-718.5萬---652.7萬94.63%-27.4萬98.92%-7.3萬519.67%7,512.1萬32,922.64%8,698萬--037.59%-510.1萬29.55%-675.8萬
現金股利支付 -44.67%-1,141.7萬-50.15%-344.6萬-40.21%-262.9萬-46.50%-263.4萬-40.75%-270.8萬-19.32%-789.2萬-23.92%-229.5萬-21.44%-187.5萬-14.09%-179.8萬-17.17%-192.4萬
職工行使股票期權收到的現金 -71.69%119.8萬-91.21%13.3萬-75.38%50.7萬-69.96%7.9萬20.65%47.9萬328.77%423.2萬704.79%151.3萬503.81%205.9萬--26.3萬-13.32%39.7萬
其他融資活動的淨現金流額 13.93%-1,355.4萬12.54%-709.8萬58.92%-167.9萬22.59%-210.8萬-224.70%-266.9萬-28.00%-1,574.8萬16.36%-811.6萬-593.89%-408.7萬-54.37%-272.3萬-234.15%-82.2萬
非持續融資活動現金淨額
融資活動現金流淨額 118.55%3,578.7萬38.20%-1,792.8萬492.32%7,377.3萬-622.90%-1.04億151.71%8,377.2萬-467.00%-1.93億-152.23%-2,900.9萬108.01%1,245.5萬81.84%-1,436.3萬-211.69%-1.62億
現金淨流量
期初現金流 1.23%3.84億197.01%6.99億40.70%3.66億83.55%4.31億1.23%3.84億263.02%3.79億18.32%2.35億-6.41%2.6億-6.13%2.35億263.02%3.79億
當期現金流變化 4,720.78%2.24億-161.78%-9,159.3萬1,444.49%3.33億-358.15%-6,517.8萬133.06%4,763.5萬-98.31%464.8萬-17.67%1.48億68.66%-2,478.3萬-8.96%2,524.8萬-198.73%-1.44億
期末現金流 58.39%6.08億58.39%6.08億197.01%6.99億40.70%3.66億83.55%4.31億1.23%3.84億1.23%3.84億18.32%2.35億-6.41%2.6億-6.13%2.35億
自由現金流 -41.68%3,811.2萬-163.15%-1,253.6萬-77.40%445.1萬71.11%2,598.1萬90.23%2,021.6萬8.22%6,535.2萬108.14%1,985萬2.00%1,969.1萬-9.75%1,518.4萬-27.83%1,062.7萬
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