美股市場個股詳情

First Northwest (FNWB)

添加自選
  • 9.570
  • +0.280+3.01%
收盤價 05/15 16:00 (美東)
  • 9.570
  • 0.0000.00%
盤後 16:10 (美東)
9090.83萬總市值17.37市盈率TTM

First Northwest (FNWB) 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
104.07%88.5萬
-116.34%-275.8萬
-17.54%1,029.2萬
309.45%472.1萬
-51.01%397.2萬
-346.93%-2,174.3萬
-5.59%1,687.6萬
383.20%1,248.1萬
146.14%115.3萬
-26.31%810.7萬
持續經營淨收入
100.07%6,000
36.62%-419.1萬
113.59%38.2萬
140.51%80.2萬
264.98%366.1萬
-2,381.82%-903.6萬
-411.05%-661.3萬
49.11%-281萬
-179.07%-198萬
-230.45%-221.9萬
持續經營損益
91.70%-7.6萬
-153.19%-96萬
-84.62%-9.6萬
167.24%3.9萬
-99.34%1.3萬
-1,661.54%-91.6萬
-63.60%180.5萬
-100.97%-5.2萬
66.08%-5.8萬
3,491.38%196.7萬
折舊和攤銷
-3.64%31.8萬
-10.39%126.8萬
-1.87%31.5萬
-13.83%29.9萬
-10.99%32.4萬
-13.84%33萬
-12.38%141.5萬
-22.09%32.1萬
-13.68%34.7萬
-9.90%36.4萬
遞延稅費
----
-42.94%-201.4萬
----
----
----
----
-1,151.49%-140.9萬
----
----
----
其他非現金項目
88.59%-43.7萬
56.53%-66.6萬
214.53%181.3萬
-264.70%-103.1萬
1,790.07%238.3萬
-782.72%-383.1萬
-223.21%-153.2萬
-372.54%-158.3萬
-55.09%62.6萬
92.00%-14.1萬
營運資金變動
108.33%133.5萬
-148.19%-291.9萬
-33.00%957.5萬
631.26%562.6萬
-175.69%-209.8萬
-149.76%-1,602.2萬
13.15%605.7萬
1,753.70%1,429.2萬
86.05%-105.9萬
-107.92%-76.1萬
-應收款項(增)減
-245.63%-55.3萬
726.79%166.1萬
113.08%166.2萬
-72.49%14.5萬
102.51%1.4萬
84.24%-16萬
76.98%-26.5萬
291.96%78萬
185.97%52.7萬
-102.55%-55.7萬
-預付費用(增)減
89.40%-123.7萬
-80.00%47.6萬
-31.20%191萬
2,199.50%917.5萬
-81.34%106.6萬
-79.37%-1,167.5萬
263.91%238萬
360.90%277.6萬
-4.77%39.9萬
479.16%571.4萬
-應付款項及遞延費用(減)增
171.69%303.4萬
-241.59%-536.5萬
-46.31%573.7萬
-85.41%-378.6萬
48.25%-308.4萬
-483.33%-423.2萬
-34.75%378.9萬
556.79%1,068.6萬
72.52%-204.2萬
-152.33%-595.9萬
-其他流動資產變化
-10.83%28萬
112.83%140.5萬
-132.48%-10.2萬
-10.90%27.8萬
107.76%91.5萬
52.43%31.4萬
-1,814.24%-1,095.4萬
52.43%31.4萬
--31.2萬
---1,178.6萬
-其他流動負債變化
29.74%-18.9萬
-109.87%-109.6萬
239.39%36.8萬
27.06%-18.6萬
-108.53%-100.9萬
-33.83%-26.9萬
1,963.59%1,110.7萬
-34.01%-26.4萬
---25.5萬
--1,182.7萬
非持續經營活動現金流
經營活動現金淨額
104.07%88.5萬
-116.34%-275.8萬
-17.54%1,029.2萬
309.45%472.1萬
-51.01%397.2萬
-346.93%-2,174.3萬
-5.59%1,687.6萬
383.20%1,248.1萬
146.14%115.3萬
-26.31%810.7萬
投資活動現金流量
持續投資活動現金淨額
-108.08%-559.7萬
252.69%1.33億
43.46%219.5萬
293.97%7,151.5萬
-137.66%-1,006.9萬
188.31%6,929.7萬
-3.41%-8,706.6萬
270.76%153萬
-758.86%-3,687萬
149.91%2,674萬
投資產品交易淨現金流
-114.30%-398.1萬
270.11%7,919.5萬
138.16%1,371.2萬
562.63%2,560.4萬
-27.70%1,203.8萬
189.41%2,784.1萬
-235.57%-4,655.6萬
-237.68%-3,593.1萬
8.20%386.4萬
503.26%1,665萬
貸款淨收益
-101.15%-34.9萬
204.00%4,976.2萬
-125.91%-929.5萬
203.05%4,051.4萬
-274.35%-1,174.6萬
159.23%3,028.9萬
58.39%-4,784.9萬
240.97%3,587.2萬
-1,854.40%-3,931.6萬
111.41%673.7萬
固定資產交易的淨現金流
-526.76%-44.5萬
-93.59%41.7萬
307.69%2.7萬
-26.09%-8.7萬
-91.82%54.8萬
37.17%-7.1萬
514.26%650.8萬
97.43%-1.3萬
68.06%-6.9萬
2,403.44%670.3萬
其他投資活動的淨現金流
-107.31%-82.2萬
328.88%356.4萬
-240.39%-224.9萬
506.52%548.4萬
-225.64%-1,090.9萬
186.10%1,123.8萬
142.23%83.1萬
253.60%160.2萬
---134.9萬
-211.82%-335萬
非持續投資現金淨額
投資活動現金流淨額
-108.08%-559.7萬
252.69%1.33億
43.46%219.5萬
293.97%7,151.5萬
-137.66%-1,006.9萬
188.31%6,929.7萬
-3.41%-8,706.6萬
270.76%153萬
-758.86%-3,687萬
149.91%2,674萬
融資活動現金流量
持續融資活動現金淨額
147.77%2,373.1萬
-703.58%-1.18億
72.58%-665.9萬
-340.53%-8,481萬
181.47%2,363.7萬
-232.45%-4,967.9萬
-86.47%1,946.9萬
-164.59%-2,428.5萬
1,547.66%3,526萬
-49.65%-2,901.4萬
存款的增減
111.30%248.1萬
-898.68%-8,892.5萬
-129.63%-5,422.6萬
-139.04%-130.9萬
-127.44%-1,143.2萬
-113.85%-2,195.8萬
-90.12%1,113.4萬
-223.44%-2,361.5萬
-27.74%335.3萬
-29.28%4,166.4萬
債務發行/償還的淨現金流
171.19%2,000萬
-280.63%-2,709.5萬
4,750.00%4,850萬
-360.80%-8,450萬
153.70%3,700萬
-155.63%-2,809.5萬
-57.75%1,500萬
-95.12%100萬
1,180.00%3,240萬
9.34%-6,890萬
普通股發行/償還的淨現金流
----
--0
--0
--0
--0
--0
-253.09%-405.7萬
--0
-8,350.00%-101.4萬
--0
現金股利支付
--0
50.17%-131.8萬
99.85%-1,000
97.24%-1.8萬
2.40%-65萬
3.28%-64.9萬
2.04%-264.5萬
2.81%-65.6萬
2.83%-65.2萬
2.49%-66.6萬
其他融資活動的淨現金流額
22.19%125萬
-567.57%-17.3萬
8.09%-93.2萬
-13.30%101.7萬
-15.20%-128.1萬
3.33%102.3萬
109.34%3.7萬
14.79%-101.4萬
-0.85%117.3萬
12.99%-111.2萬
非持續融資活動現金淨額
融資活動現金流淨額
147.77%2,373.1萬
-703.58%-1.18億
72.58%-665.9萬
-340.53%-8,481萬
181.47%2,363.7萬
-232.45%-4,967.9萬
-86.47%1,946.9萬
-164.59%-2,428.5萬
1,547.66%3,526萬
-49.65%-2,901.4萬
現金淨流量
期初現金流
17.49%8,511.7萬
-41.18%7,244.8萬
-4.15%7,928.9萬
5.63%8,786.3萬
-9.08%7,032.3萬
-41.18%7,244.8萬
170.13%1.23億
-1.39%8,272.2萬
5.76%8,317.9萬
-45.00%7,734.6萬
當期現金流變化
995.01%1,901.9萬
124.98%1,266.9萬
156.73%582.8萬
-1,776.15%-857.4萬
200.70%1,754萬
95.36%-212.5萬
-165.38%-5,072.1萬
-126.15%-1,027.4萬
-108.73%-45.7萬
109.41%583.3萬
期末現金流
48.08%1.04億
17.49%8,511.7萬
17.49%8,511.7萬
-4.15%7,928.9萬
5.63%8,786.3萬
-9.08%7,032.3萬
-41.18%7,244.8萬
-41.18%7,244.8萬
-1.39%8,272.2萬
5.76%8,317.9萬
自由現金流
102.02%44萬
-116.34%-275.8萬
-17.54%1,029.2萬
309.45%472.1萬
-50.82%404.3萬
-338.21%-2,181.4萬
3.51%1,687.6萬
500.63%1,248.1萬
142.47%115.3萬
-23.25%822萬
貨幣單位
美元
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會計準則
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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
--
--
--
--
無保留意見
--
--
--
(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 104.07%88.5萬-116.34%-275.8萬-17.54%1,029.2萬309.45%472.1萬-51.01%397.2萬-346.93%-2,174.3萬-5.59%1,687.6萬383.20%1,248.1萬146.14%115.3萬-26.31%810.7萬
持續經營淨收入 100.07%6,00036.62%-419.1萬113.59%38.2萬140.51%80.2萬264.98%366.1萬-2,381.82%-903.6萬-411.05%-661.3萬49.11%-281萬-179.07%-198萬-230.45%-221.9萬
持續經營損益 91.70%-7.6萬-153.19%-96萬-84.62%-9.6萬167.24%3.9萬-99.34%1.3萬-1,661.54%-91.6萬-63.60%180.5萬-100.97%-5.2萬66.08%-5.8萬3,491.38%196.7萬
折舊和攤銷 -3.64%31.8萬-10.39%126.8萬-1.87%31.5萬-13.83%29.9萬-10.99%32.4萬-13.84%33萬-12.38%141.5萬-22.09%32.1萬-13.68%34.7萬-9.90%36.4萬
遞延稅費 -----42.94%-201.4萬-----------------1,151.49%-140.9萬------------
其他非現金項目 88.59%-43.7萬56.53%-66.6萬214.53%181.3萬-264.70%-103.1萬1,790.07%238.3萬-782.72%-383.1萬-223.21%-153.2萬-372.54%-158.3萬-55.09%62.6萬92.00%-14.1萬
營運資金變動 108.33%133.5萬-148.19%-291.9萬-33.00%957.5萬631.26%562.6萬-175.69%-209.8萬-149.76%-1,602.2萬13.15%605.7萬1,753.70%1,429.2萬86.05%-105.9萬-107.92%-76.1萬
-應收款項(增)減 -245.63%-55.3萬726.79%166.1萬113.08%166.2萬-72.49%14.5萬102.51%1.4萬84.24%-16萬76.98%-26.5萬291.96%78萬185.97%52.7萬-102.55%-55.7萬
-預付費用(增)減 89.40%-123.7萬-80.00%47.6萬-31.20%191萬2,199.50%917.5萬-81.34%106.6萬-79.37%-1,167.5萬263.91%238萬360.90%277.6萬-4.77%39.9萬479.16%571.4萬
-應付款項及遞延費用(減)增 171.69%303.4萬-241.59%-536.5萬-46.31%573.7萬-85.41%-378.6萬48.25%-308.4萬-483.33%-423.2萬-34.75%378.9萬556.79%1,068.6萬72.52%-204.2萬-152.33%-595.9萬
-其他流動資產變化 -10.83%28萬112.83%140.5萬-132.48%-10.2萬-10.90%27.8萬107.76%91.5萬52.43%31.4萬-1,814.24%-1,095.4萬52.43%31.4萬--31.2萬---1,178.6萬
-其他流動負債變化 29.74%-18.9萬-109.87%-109.6萬239.39%36.8萬27.06%-18.6萬-108.53%-100.9萬-33.83%-26.9萬1,963.59%1,110.7萬-34.01%-26.4萬---25.5萬--1,182.7萬
非持續經營活動現金流
經營活動現金淨額 104.07%88.5萬-116.34%-275.8萬-17.54%1,029.2萬309.45%472.1萬-51.01%397.2萬-346.93%-2,174.3萬-5.59%1,687.6萬383.20%1,248.1萬146.14%115.3萬-26.31%810.7萬
投資活動現金流量
持續投資活動現金淨額 -108.08%-559.7萬252.69%1.33億43.46%219.5萬293.97%7,151.5萬-137.66%-1,006.9萬188.31%6,929.7萬-3.41%-8,706.6萬270.76%153萬-758.86%-3,687萬149.91%2,674萬
投資產品交易淨現金流 -114.30%-398.1萬270.11%7,919.5萬138.16%1,371.2萬562.63%2,560.4萬-27.70%1,203.8萬189.41%2,784.1萬-235.57%-4,655.6萬-237.68%-3,593.1萬8.20%386.4萬503.26%1,665萬
貸款淨收益 -101.15%-34.9萬204.00%4,976.2萬-125.91%-929.5萬203.05%4,051.4萬-274.35%-1,174.6萬159.23%3,028.9萬58.39%-4,784.9萬240.97%3,587.2萬-1,854.40%-3,931.6萬111.41%673.7萬
固定資產交易的淨現金流 -526.76%-44.5萬-93.59%41.7萬307.69%2.7萬-26.09%-8.7萬-91.82%54.8萬37.17%-7.1萬514.26%650.8萬97.43%-1.3萬68.06%-6.9萬2,403.44%670.3萬
其他投資活動的淨現金流 -107.31%-82.2萬328.88%356.4萬-240.39%-224.9萬506.52%548.4萬-225.64%-1,090.9萬186.10%1,123.8萬142.23%83.1萬253.60%160.2萬---134.9萬-211.82%-335萬
非持續投資現金淨額
投資活動現金流淨額 -108.08%-559.7萬252.69%1.33億43.46%219.5萬293.97%7,151.5萬-137.66%-1,006.9萬188.31%6,929.7萬-3.41%-8,706.6萬270.76%153萬-758.86%-3,687萬149.91%2,674萬
融資活動現金流量
持續融資活動現金淨額 147.77%2,373.1萬-703.58%-1.18億72.58%-665.9萬-340.53%-8,481萬181.47%2,363.7萬-232.45%-4,967.9萬-86.47%1,946.9萬-164.59%-2,428.5萬1,547.66%3,526萬-49.65%-2,901.4萬
存款的增減 111.30%248.1萬-898.68%-8,892.5萬-129.63%-5,422.6萬-139.04%-130.9萬-127.44%-1,143.2萬-113.85%-2,195.8萬-90.12%1,113.4萬-223.44%-2,361.5萬-27.74%335.3萬-29.28%4,166.4萬
債務發行/償還的淨現金流 171.19%2,000萬-280.63%-2,709.5萬4,750.00%4,850萬-360.80%-8,450萬153.70%3,700萬-155.63%-2,809.5萬-57.75%1,500萬-95.12%100萬1,180.00%3,240萬9.34%-6,890萬
普通股發行/償還的淨現金流 ------0--0--0--0--0-253.09%-405.7萬--0-8,350.00%-101.4萬--0
現金股利支付 --050.17%-131.8萬99.85%-1,00097.24%-1.8萬2.40%-65萬3.28%-64.9萬2.04%-264.5萬2.81%-65.6萬2.83%-65.2萬2.49%-66.6萬
其他融資活動的淨現金流額 22.19%125萬-567.57%-17.3萬8.09%-93.2萬-13.30%101.7萬-15.20%-128.1萬3.33%102.3萬109.34%3.7萬14.79%-101.4萬-0.85%117.3萬12.99%-111.2萬
非持續融資活動現金淨額
融資活動現金流淨額 147.77%2,373.1萬-703.58%-1.18億72.58%-665.9萬-340.53%-8,481萬181.47%2,363.7萬-232.45%-4,967.9萬-86.47%1,946.9萬-164.59%-2,428.5萬1,547.66%3,526萬-49.65%-2,901.4萬
現金淨流量
期初現金流 17.49%8,511.7萬-41.18%7,244.8萬-4.15%7,928.9萬5.63%8,786.3萬-9.08%7,032.3萬-41.18%7,244.8萬170.13%1.23億-1.39%8,272.2萬5.76%8,317.9萬-45.00%7,734.6萬
當期現金流變化 995.01%1,901.9萬124.98%1,266.9萬156.73%582.8萬-1,776.15%-857.4萬200.70%1,754萬95.36%-212.5萬-165.38%-5,072.1萬-126.15%-1,027.4萬-108.73%-45.7萬109.41%583.3萬
期末現金流 48.08%1.04億17.49%8,511.7萬17.49%8,511.7萬-4.15%7,928.9萬5.63%8,786.3萬-9.08%7,032.3萬-41.18%7,244.8萬-41.18%7,244.8萬-1.39%8,272.2萬5.76%8,317.9萬
自由現金流 102.02%44萬-116.34%-275.8萬-17.54%1,029.2萬309.45%472.1萬-50.82%404.3萬-338.21%-2,181.4萬3.51%1,687.6萬500.63%1,248.1萬142.47%115.3萬-23.25%822萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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