美股市場個股詳情

First Bank (FRBA)

添加自選
  • 16.530
  • +0.050+0.30%
收盤價 04/24 16:00 (美東)
  • 16.530
  • 0.0000.00%
盤後 16:10 (美東)
4.15億總市值9.50市盈率TTM

First Bank (FRBA) 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
137.33%6,556.4萬
68.05%1,684萬
2,538.90%1,724.3萬
37.82%1,132.2萬
99.65%2,015.9萬
-80.79%2,762.6萬
-74.32%1,002.1萬
-100.80%-70.7萬
21.81%821.5萬
9.14%1,009.7萬
持續經營淨收入
3.35%4,365.9萬
17.40%1,232.4萬
43.53%1,171.5萬
-7.53%1,023.9萬
-25.02%938.1萬
102.15%4,224.4萬
25.26%1,049.7萬
742.17%816.2萬
62.86%1,107.3萬
79.02%1,251.2萬
持續經營損益
-197.30%-104.6萬
-28,400.00%-28.3萬
-378.67%-104.5萬
-65.24%31.6萬
83.81%-3.4萬
-81.60%107.5萬
-99.98%1,000
-69.54%37.5萬
634.71%90.9萬
-418.18%-21萬
折舊和攤銷
-2.52%421.3萬
-2.43%104.5萬
-11.72%97.9萬
-0.83%106.9萬
5.26%112萬
51.70%432.2萬
-0.19%107.1萬
26.02%110.9萬
125.05%107.8萬
155.16%106.4萬
遞延稅費
-58.67%217.8萬
-65.93%217.8萬
----
----
----
1,557.23%527萬
181.02%639.2萬
-100.01%-1,000
----
----
其他非現金項目
31.89%-985.6萬
42.85%-163.5萬
87.94%-45.4萬
-11.62%-426.5萬
12.93%-350.2萬
-112.72%-1,447萬
-110.62%-286.1萬
-104.56%-376.6萬
-232.44%-382.1萬
-388.73%-402.2萬
營運資金變動
226.29%1,510.5萬
82.06%-92.6萬
134.57%254.5萬
338.88%242.7萬
600.38%1,105.9萬
-64.01%-1,196.1萬
-182.86%-516.2萬
21.37%-736.2萬
71.96%-101.6萬
394.04%157.9萬
-應收款項(增)減
-123.19%-11.5萬
172.94%55.8萬
-153.57%-43.5萬
-56.31%38.4萬
-44.65%-62.2萬
118.28%49.6萬
-5,200.00%-76.5萬
136.31%81.2萬
1,025.26%87.9萬
-8.04%-43萬
-應付款項及遞延費用(減)增
-6.45%94.3萬
98.65%-1.7萬
-58.97%33.6萬
-279.76%-44.4萬
-11.00%106.8萬
220.86%100.8萬
-207.58%-125.8萬
200.86%81.9萬
168.04%24.7萬
60.00%120萬
-其他流動資產變化
188.05%1,429.1萬
100.21%2.4萬
66.10%-69.3萬
-55.61%-346.7萬
3,938.96%1,842.7萬
-119.27%-1,623萬
-445.51%-1,147.8萬
78.95%-204.4萬
-287.70%-222.8萬
78.21%-48萬
-其他流動負債變化
-100.51%-1.4萬
-117.88%-149.1萬
148.02%333.7萬
6,823.26%595.4萬
-706.21%-781.4萬
-24.39%276.5萬
152.54%833.9萬
-304.80%-694.9萬
101.98%8.6萬
-1.90%128.9萬
非持續經營活動現金流
經營活動現金淨額
137.33%6,556.4萬
68.05%1,684萬
2,538.90%1,724.3萬
37.82%1,132.2萬
99.65%2,015.9萬
-80.79%2,762.6萬
-74.32%1,002.1萬
-100.80%-70.7萬
21.81%821.5萬
9.14%1,009.7萬
投資活動現金流量
持續投資活動現金淨額
-44.69%-1.55億
196.79%6,127.5萬
31.43%-4,033.9萬
-967.57%-7,845.6萬
-537.86%-9,759萬
-627.39%-1.07億
-77.30%-6,330.9萬
-140.25%-5,882.8萬
80.03%-734.9萬
141.80%2,228.8萬
其他金融機構的計息存款收益
-101.58%-4,000
--0
--0
----
----
-14.81%25.3萬
--0
100.00%49.8萬
---24.5萬
--0
投資產品交易淨現金流
-469.33%-3,705.2萬
-104.71%-2,317.7萬
-226.37%-1,076萬
225.12%419.4萬
-1,994.27%-730.9萬
-109.46%-650.8萬
24.69%-1,132.2萬
-87.77%851.5萬
-158.86%-335.2萬
-104.12%-34.9萬
貸款淨收益
-17.49%-1.39億
255.52%8,201.1萬
48.21%-4,471.9萬
-5,055.76%-8,857.6萬
-498.12%-8,813.6萬
-82.81%-1.19億
-71.89%-5,273.3萬
-228.84%-8,635.5萬
96.28%-171.8萬
140.19%2,213.8萬
固定資產交易的淨現金流
161.14%111.4萬
65.38%-54.7萬
-237.32%-93.1萬
650.35%313.7萬
-55.71%-54.5萬
41.55%-182.2萬
-111.51%-158萬
220.64%67.8萬
-11.55%-57萬
73.01%-35萬
業務交易的淨現金流
--0
----
----
----
----
--0
--0
----
----
----
其他投資活動的淨現金流
3.61%2,025.2萬
28.46%298.8萬
-9.90%1,607.1萬
290.78%279.3萬
-288.46%-160萬
-44.96%1,954.7萬
-79.32%232.6萬
-31.50%1,783.6萬
-134.91%-146.4萬
114.23%84.9萬
非持續投資現金淨額
投資活動現金流淨額
-44.69%-1.55億
196.79%6,127.5萬
31.43%-4,033.9萬
-967.57%-7,845.6萬
-537.86%-9,759萬
-627.39%-1.07億
-77.30%-6,330.9萬
-140.25%-5,882.8萬
80.03%-734.9萬
141.80%2,228.8萬
融資活動現金流量
持續融資活動現金淨額
2.69%1.27億
-780.28%-8,777.7萬
-102.22%-291.3萬
1,033.95%1.24億
398.36%9,360.1萬
298.84%1.24億
-70.95%1,290.3萬
155.28%1.31億
-78.72%1,093萬
-139.61%-3,137.2萬
存款的增減
67.02%1.46億
-473.43%-2,134.5萬
-32.73%5,533.8萬
1,649.18%4,835萬
2,304.48%6,381.5萬
8,257.98%8,750.8萬
1,986.47%571.6萬
178.63%8,225.9萬
-101.97%-312.1萬
105.09%265.4萬
債務發行/償還的淨現金流
-113.73%-588.6萬
-753.78%-6,505.1萬
-210.20%-5,507.8萬
413.23%7,929.4萬
207.45%3,494.9萬
181.51%4,285.6萬
-78.37%995萬
138.15%4,998.2萬
115.44%1,545萬
-124.55%-3,252.6萬
普通股發行/償還的淨現金流
-533.76%-848.6萬
--0
---178.2萬
---284.2萬
---386.2萬
75.81%-133.9萬
---133.9萬
--0
--0
--0
現金股利支付
0.80%-598萬
1.85%-148.2萬
1.06%-149.4萬
0.46%-150.1萬
-0.20%-150.3萬
-13.31%-602.8萬
-0.87%-151萬
-1.00%-151萬
-29.89%-150.8萬
-28.53%-150萬
職工行使股票期權收到的現金
94.42%104.6萬
17.44%10.1萬
-69.97%10.3萬
487.16%64萬
--20.2萬
110.16%53.8萬
-61.61%8.6萬
2,043.75%34.3萬
--10.9萬
--0
非持續融資活動現金淨額
融資活動現金流淨額
2.69%1.27億
-780.28%-8,777.7萬
-102.22%-291.3萬
1,033.95%1.24億
398.36%9,360.1萬
298.84%1.24億
-70.95%1,290.3萬
155.28%1.31億
-78.72%1,093萬
-139.61%-3,137.2萬
現金淨流量
期初現金流
19.29%2.72億
2.11%3.19億
43.25%3.45億
25.82%2.88億
19.29%2.72億
81.03%2.28億
73.30%3.12億
32.03%2.41億
42.18%2.29億
81.03%2.28億
當期現金流變化
-15.14%3,730.6萬
76.08%-966.2萬
-136.36%-2,600.9萬
381.58%5,680.7萬
1,496.25%1,617萬
-56.91%4,396.3萬
-184.59%-4,038.5萬
3,436.71%7,153.9萬
-44.65%1,179.6萬
-97.12%101.3萬
期末現金流
13.72%3.09億
13.72%3.09億
2.11%3.19億
43.25%3.45億
25.82%2.88億
19.29%2.72億
19.29%2.72億
73.30%3.12億
32.03%2.41億
42.18%2.29億
自由現金流
153.51%6,266萬
93.02%1,629.3萬
1,561.65%1,631.2萬
36.57%1,044.1萬
101.23%1,961.4萬
-82.44%2,471.7萬
-77.95%844.1萬
-101.26%-111.6萬
22.65%764.5萬
22.54%974.7萬
貨幣單位
美元
美元
美元
美元
美元
美元
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美元
美元
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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 137.33%6,556.4萬68.05%1,684萬2,538.90%1,724.3萬37.82%1,132.2萬99.65%2,015.9萬-80.79%2,762.6萬-74.32%1,002.1萬-100.80%-70.7萬21.81%821.5萬9.14%1,009.7萬
持續經營淨收入 3.35%4,365.9萬17.40%1,232.4萬43.53%1,171.5萬-7.53%1,023.9萬-25.02%938.1萬102.15%4,224.4萬25.26%1,049.7萬742.17%816.2萬62.86%1,107.3萬79.02%1,251.2萬
持續經營損益 -197.30%-104.6萬-28,400.00%-28.3萬-378.67%-104.5萬-65.24%31.6萬83.81%-3.4萬-81.60%107.5萬-99.98%1,000-69.54%37.5萬634.71%90.9萬-418.18%-21萬
折舊和攤銷 -2.52%421.3萬-2.43%104.5萬-11.72%97.9萬-0.83%106.9萬5.26%112萬51.70%432.2萬-0.19%107.1萬26.02%110.9萬125.05%107.8萬155.16%106.4萬
遞延稅費 -58.67%217.8萬-65.93%217.8萬------------1,557.23%527萬181.02%639.2萬-100.01%-1,000--------
其他非現金項目 31.89%-985.6萬42.85%-163.5萬87.94%-45.4萬-11.62%-426.5萬12.93%-350.2萬-112.72%-1,447萬-110.62%-286.1萬-104.56%-376.6萬-232.44%-382.1萬-388.73%-402.2萬
營運資金變動 226.29%1,510.5萬82.06%-92.6萬134.57%254.5萬338.88%242.7萬600.38%1,105.9萬-64.01%-1,196.1萬-182.86%-516.2萬21.37%-736.2萬71.96%-101.6萬394.04%157.9萬
-應收款項(增)減 -123.19%-11.5萬172.94%55.8萬-153.57%-43.5萬-56.31%38.4萬-44.65%-62.2萬118.28%49.6萬-5,200.00%-76.5萬136.31%81.2萬1,025.26%87.9萬-8.04%-43萬
-應付款項及遞延費用(減)增 -6.45%94.3萬98.65%-1.7萬-58.97%33.6萬-279.76%-44.4萬-11.00%106.8萬220.86%100.8萬-207.58%-125.8萬200.86%81.9萬168.04%24.7萬60.00%120萬
-其他流動資產變化 188.05%1,429.1萬100.21%2.4萬66.10%-69.3萬-55.61%-346.7萬3,938.96%1,842.7萬-119.27%-1,623萬-445.51%-1,147.8萬78.95%-204.4萬-287.70%-222.8萬78.21%-48萬
-其他流動負債變化 -100.51%-1.4萬-117.88%-149.1萬148.02%333.7萬6,823.26%595.4萬-706.21%-781.4萬-24.39%276.5萬152.54%833.9萬-304.80%-694.9萬101.98%8.6萬-1.90%128.9萬
非持續經營活動現金流
經營活動現金淨額 137.33%6,556.4萬68.05%1,684萬2,538.90%1,724.3萬37.82%1,132.2萬99.65%2,015.9萬-80.79%2,762.6萬-74.32%1,002.1萬-100.80%-70.7萬21.81%821.5萬9.14%1,009.7萬
投資活動現金流量
持續投資活動現金淨額 -44.69%-1.55億196.79%6,127.5萬31.43%-4,033.9萬-967.57%-7,845.6萬-537.86%-9,759萬-627.39%-1.07億-77.30%-6,330.9萬-140.25%-5,882.8萬80.03%-734.9萬141.80%2,228.8萬
其他金融機構的計息存款收益 -101.58%-4,000--0--0---------14.81%25.3萬--0100.00%49.8萬---24.5萬--0
投資產品交易淨現金流 -469.33%-3,705.2萬-104.71%-2,317.7萬-226.37%-1,076萬225.12%419.4萬-1,994.27%-730.9萬-109.46%-650.8萬24.69%-1,132.2萬-87.77%851.5萬-158.86%-335.2萬-104.12%-34.9萬
貸款淨收益 -17.49%-1.39億255.52%8,201.1萬48.21%-4,471.9萬-5,055.76%-8,857.6萬-498.12%-8,813.6萬-82.81%-1.19億-71.89%-5,273.3萬-228.84%-8,635.5萬96.28%-171.8萬140.19%2,213.8萬
固定資產交易的淨現金流 161.14%111.4萬65.38%-54.7萬-237.32%-93.1萬650.35%313.7萬-55.71%-54.5萬41.55%-182.2萬-111.51%-158萬220.64%67.8萬-11.55%-57萬73.01%-35萬
業務交易的淨現金流 --0------------------0--0------------
其他投資活動的淨現金流 3.61%2,025.2萬28.46%298.8萬-9.90%1,607.1萬290.78%279.3萬-288.46%-160萬-44.96%1,954.7萬-79.32%232.6萬-31.50%1,783.6萬-134.91%-146.4萬114.23%84.9萬
非持續投資現金淨額
投資活動現金流淨額 -44.69%-1.55億196.79%6,127.5萬31.43%-4,033.9萬-967.57%-7,845.6萬-537.86%-9,759萬-627.39%-1.07億-77.30%-6,330.9萬-140.25%-5,882.8萬80.03%-734.9萬141.80%2,228.8萬
融資活動現金流量
持續融資活動現金淨額 2.69%1.27億-780.28%-8,777.7萬-102.22%-291.3萬1,033.95%1.24億398.36%9,360.1萬298.84%1.24億-70.95%1,290.3萬155.28%1.31億-78.72%1,093萬-139.61%-3,137.2萬
存款的增減 67.02%1.46億-473.43%-2,134.5萬-32.73%5,533.8萬1,649.18%4,835萬2,304.48%6,381.5萬8,257.98%8,750.8萬1,986.47%571.6萬178.63%8,225.9萬-101.97%-312.1萬105.09%265.4萬
債務發行/償還的淨現金流 -113.73%-588.6萬-753.78%-6,505.1萬-210.20%-5,507.8萬413.23%7,929.4萬207.45%3,494.9萬181.51%4,285.6萬-78.37%995萬138.15%4,998.2萬115.44%1,545萬-124.55%-3,252.6萬
普通股發行/償還的淨現金流 -533.76%-848.6萬--0---178.2萬---284.2萬---386.2萬75.81%-133.9萬---133.9萬--0--0--0
現金股利支付 0.80%-598萬1.85%-148.2萬1.06%-149.4萬0.46%-150.1萬-0.20%-150.3萬-13.31%-602.8萬-0.87%-151萬-1.00%-151萬-29.89%-150.8萬-28.53%-150萬
職工行使股票期權收到的現金 94.42%104.6萬17.44%10.1萬-69.97%10.3萬487.16%64萬--20.2萬110.16%53.8萬-61.61%8.6萬2,043.75%34.3萬--10.9萬--0
非持續融資活動現金淨額
融資活動現金流淨額 2.69%1.27億-780.28%-8,777.7萬-102.22%-291.3萬1,033.95%1.24億398.36%9,360.1萬298.84%1.24億-70.95%1,290.3萬155.28%1.31億-78.72%1,093萬-139.61%-3,137.2萬
現金淨流量
期初現金流 19.29%2.72億2.11%3.19億43.25%3.45億25.82%2.88億19.29%2.72億81.03%2.28億73.30%3.12億32.03%2.41億42.18%2.29億81.03%2.28億
當期現金流變化 -15.14%3,730.6萬76.08%-966.2萬-136.36%-2,600.9萬381.58%5,680.7萬1,496.25%1,617萬-56.91%4,396.3萬-184.59%-4,038.5萬3,436.71%7,153.9萬-44.65%1,179.6萬-97.12%101.3萬
期末現金流 13.72%3.09億13.72%3.09億2.11%3.19億43.25%3.45億25.82%2.88億19.29%2.72億19.29%2.72億73.30%3.12億32.03%2.41億42.18%2.29億
自由現金流 153.51%6,266萬93.02%1,629.3萬1,561.65%1,631.2萬36.57%1,044.1萬101.23%1,961.4萬-82.44%2,471.7萬-77.95%844.1萬-101.26%-111.6萬22.65%764.5萬22.54%974.7萬
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