美股市場個股詳情

Home Bancorp (HBCP)

添加自選
  • 61.960
  • -0.560-0.90%
收盤價 04/24 16:00 (美東)
  • 61.960
  • 0.0000.00%
盤後 17:31 (美東)
4.85億總市值10.41市盈率TTM

Home Bancorp (HBCP) 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
11.85%5,450.8萬
100.51%1,169.4萬
22.05%2,148.9萬
-41.56%874.9萬
21.83%1,257.6萬
17.83%4,873.1萬
-42.75%583.2萬
34.49%1,760.6萬
80.88%1,497萬
5.32%1,032.3萬
持續經營淨收入
26.45%4,606.2萬
17.97%1,141.1萬
30.94%1,235.7萬
39.57%1,133萬
19.19%1,096.4萬
-9.48%3,642.7萬
3.07%967.3萬
-3.25%943.7萬
-17.00%811.8萬
-18.74%919.9萬
持續經營損益
-5.10%-105.1萬
40.91%-10.4萬
-4.10%-25.4萬
13.87%-23.6萬
-49.35%-45.7萬
12.82%-100萬
30.98%-17.6萬
72.43%-24.4萬
-70.19%-27.4萬
-298.70%-30.6萬
折舊和攤銷
-5.35%331.1萬
1.70%83.8萬
-9.92%82.6萬
-6.44%81.3萬
-6.08%83.4萬
-2.04%349.8萬
-9.65%82.4萬
3.85%91.7萬
-1.47%86.9萬
-0.67%88.8萬
遞延稅費
-179.55%-12.3萬
-176.72%-32.1萬
391.67%5.9萬
273.81%31.4萬
-629.17%-17.5萬
-33.33%-4.4萬
-81.25%-11.6萬
33.33%1.2萬
-33.33%8.4萬
76.92%-2.4萬
其他非現金項目
-58.53%136.1萬
-78.53%7.9萬
-71.25%18.8萬
-15.88%134.5萬
-137.97%-25.1萬
-23.90%328.2萬
-76.58%36.8萬
-39.89%65.4萬
71.38%159.9萬
-8.32%66.1萬
營運資金變動
-77.17%25.3萬
74.52%-164.1萬
29.13%758.9萬
-336.36%-616.2萬
149.89%46.7萬
110.38%110.8萬
-136.07%-644萬
373.57%587.7萬
158.51%260.7萬
80.23%-93.6萬
-應收款項(增)減
777.99%462.7萬
357.96%285.3萬
-56.17%167萬
109.58%12.3萬
97.87%-1.9萬
106.57%52.7萬
-168.36%-110.6萬
241.43%381萬
73.07%-128.4萬
59.02%-89.3萬
-應付款項及遞延費用(減)增
-292.62%-323.8萬
16.75%-420.6萬
164.35%620.7萬
-244.23%-600.3萬
242.60%76.4萬
204.41%168.1萬
-23.85%-505.2萬
-44.10%234.8萬
627.62%416.2萬
109.68%22.3萬
-其他營運資本變化
-3.27%-113.6萬
-2.13%-28.8萬
-2.49%-28.8萬
-4.06%-28.2萬
-4.51%-27.8萬
-5.26%-110萬
-5.62%-28.2萬
-6.04%-28.1萬
-4.23%-27.1萬
-5.14%-26.6萬
非持續經營活動現金流
經營活動現金淨額
11.85%5,450.8萬
100.51%1,169.4萬
22.05%2,148.9萬
-41.56%874.9萬
21.83%1,257.6萬
17.83%4,873.1萬
-42.75%583.2萬
34.49%1,760.6萬
80.88%1,497萬
5.32%1,032.3萬
投資活動現金流量
持續投資活動現金淨額
97.31%-287.7萬
-3.62%-4,875.4萬
3,689.87%7,474.1萬
87.46%-404.4萬
3.54%-2,482萬
-13.63%-1.07億
-3,761.56%-4,705.1萬
95.54%-208.2萬
10.35%-3,224.3萬
-99.03%-2,573萬
其他金融機構的計息存款收益
--0
--0
--0
--0
--0
-60.40%9.9萬
--0
--0
--0
--9.9萬
投資產品交易淨現金流
-13.63%2,873.6萬
-155.77%-506萬
128.87%1,375.5萬
16.48%1,084.4萬
3.58%919.7萬
-47.45%3,327.2萬
-30.17%907.3萬
-50.31%601萬
-14.41%931萬
-67.54%887.9萬
貸款淨收益
78.37%-3,065.9萬
25.53%-3,911.2萬
867.96%5,722.1萬
53.50%-1,900.4萬
27.25%-2,976.4萬
8.35%-1.42億
-253.34%-5,251.7萬
87.23%-745.1萬
9.46%-4,087.2萬
-12.69%-4,091.3萬
固定資產交易的淨現金流
-161.98%-997.9萬
-923.06%-461.4萬
-67.61%-83.3萬
56.58%-70.3萬
-208.29%-382.9萬
-88.75%-380.9萬
9.26%-45.1萬
-30.10%-49.7萬
-71.50%-161.9萬
-536.92%-124.2萬
業務交易的淨現金流
----
----
----
----
----
--0
----
----
----
----
其他投資活動的淨現金流
77.48%902.5萬
101.01%3.2萬
3,293.06%459.8萬
413.75%481.9萬
-105.69%-42.4萬
547.23%508.5萬
-186.42%-315.6萬
---14.4萬
192.96%93.8萬
297.01%744.7萬
非持續投資現金淨額
投資活動現金流淨額
97.31%-287.7萬
-3.62%-4,875.4萬
3,689.87%7,474.1萬
87.46%-404.4萬
3.54%-2,482萬
-13.63%-1.07億
-3,761.56%-4,705.1萬
95.54%-208.2萬
10.35%-3,224.3萬
-99.03%-2,573萬
融資活動現金流量
持續融資活動現金淨額
-110.57%-857.4萬
-374.01%-1,065.9萬
-382.99%-1,950.1萬
-106.89%-277.2萬
-18.94%2,435.8萬
96.21%8,109.2萬
119.29%389萬
-67.50%689.1萬
131.49%4,026萬
31.25%3,005.1萬
存款的增減
74.31%1.92億
-183.95%-269.8萬
23.21%6,726.7萬
21,335.19%8,102.5萬
-10.60%4,650.9萬
190.92%1.1億
-95.61%321.4萬
19.02%5,459.4萬
106.40%37.8萬
169.08%5,202.2萬
債務發行/償還的淨現金流
-937.11%-1.78億
-361.20%-557.4萬
-88.79%-8,513.7萬
-267.18%-7,506.3萬
35.69%-1,228.7萬
-204.08%-1,716.9萬
102.34%213.4萬
-110.02%-4,509.6萬
57.15%4,489.9萬
-119.01%-1,910.6萬
普通股發行/償還的淨現金流
-200.69%-1,435.5萬
52.27%-4.2萬
100.49%5,000
-128.10%-648.5萬
-848.31%-783.3萬
9.22%-477.4萬
83.73%-8.8萬
17.59%-101.7萬
9.72%-284.3萬
-146.57%-82.6萬
現金股利支付
-9.76%-898.8萬
-15.58%-242.6萬
-12.44%-226.9萬
-3.59%-210.7萬
-7.26%-218.6萬
0.40%-818.9萬
-3.04%-209.9萬
1.51%-201.8萬
1.45%-203.4萬
1.64%-203.8萬
職工行使股票期權收到的現金
-28.44%72.7萬
-88.89%8.1萬
47.90%63.3萬
-1.43%-14.2萬
15,600.00%15.5萬
135.73%101.6萬
136.69%72.9萬
391.95%42.8萬
-129.51%-14萬
-101.03%-1,000
非持續融資活動現金淨額
融資活動現金流淨額
-110.57%-857.4萬
-374.01%-1,065.9萬
-382.99%-1,950.1萬
-106.89%-277.2萬
-18.94%2,435.8萬
96.21%8,109.2萬
119.29%389萬
-67.50%689.1萬
131.49%4,026萬
31.25%3,005.1萬
現金淨流量
期初現金流
29.96%9,854.8萬
39.33%1.89億
-0.76%1.13億
22.31%1.11億
29.96%9,854.8萬
-13.24%7,583.1萬
60.76%1.36億
17.12%1.13億
-15.58%9,047.5萬
-13.24%7,583.1萬
當期現金流變化
89.54%4,305.7萬
-27.83%-4,771.9萬
242.31%7,672.9萬
-91.59%193.3萬
-17.28%1,211.4萬
296.34%2,271.7萬
-329.61%-3,732.9萬
281.45%2,241.5萬
323.22%2,298.7萬
-25.93%1,464.4萬
期末現金流
43.69%1.42億
43.69%1.42億
39.33%1.89億
-0.76%1.13億
22.31%1.11億
29.96%9,854.8萬
29.96%9,854.8萬
60.76%1.36億
17.12%1.13億
-15.58%9,047.5萬
自由現金流
-0.74%4,434.2萬
33.94%708萬
21.76%2,065.6萬
-40.81%790.3萬
-4.08%870.3萬
13.58%4,467.4萬
-45.45%528.6萬
33.48%1,696.4萬
82.09%1,335.1萬
-5.52%907.3萬
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 11.85%5,450.8萬100.51%1,169.4萬22.05%2,148.9萬-41.56%874.9萬21.83%1,257.6萬17.83%4,873.1萬-42.75%583.2萬34.49%1,760.6萬80.88%1,497萬5.32%1,032.3萬
持續經營淨收入 26.45%4,606.2萬17.97%1,141.1萬30.94%1,235.7萬39.57%1,133萬19.19%1,096.4萬-9.48%3,642.7萬3.07%967.3萬-3.25%943.7萬-17.00%811.8萬-18.74%919.9萬
持續經營損益 -5.10%-105.1萬40.91%-10.4萬-4.10%-25.4萬13.87%-23.6萬-49.35%-45.7萬12.82%-100萬30.98%-17.6萬72.43%-24.4萬-70.19%-27.4萬-298.70%-30.6萬
折舊和攤銷 -5.35%331.1萬1.70%83.8萬-9.92%82.6萬-6.44%81.3萬-6.08%83.4萬-2.04%349.8萬-9.65%82.4萬3.85%91.7萬-1.47%86.9萬-0.67%88.8萬
遞延稅費 -179.55%-12.3萬-176.72%-32.1萬391.67%5.9萬273.81%31.4萬-629.17%-17.5萬-33.33%-4.4萬-81.25%-11.6萬33.33%1.2萬-33.33%8.4萬76.92%-2.4萬
其他非現金項目 -58.53%136.1萬-78.53%7.9萬-71.25%18.8萬-15.88%134.5萬-137.97%-25.1萬-23.90%328.2萬-76.58%36.8萬-39.89%65.4萬71.38%159.9萬-8.32%66.1萬
營運資金變動 -77.17%25.3萬74.52%-164.1萬29.13%758.9萬-336.36%-616.2萬149.89%46.7萬110.38%110.8萬-136.07%-644萬373.57%587.7萬158.51%260.7萬80.23%-93.6萬
-應收款項(增)減 777.99%462.7萬357.96%285.3萬-56.17%167萬109.58%12.3萬97.87%-1.9萬106.57%52.7萬-168.36%-110.6萬241.43%381萬73.07%-128.4萬59.02%-89.3萬
-應付款項及遞延費用(減)增 -292.62%-323.8萬16.75%-420.6萬164.35%620.7萬-244.23%-600.3萬242.60%76.4萬204.41%168.1萬-23.85%-505.2萬-44.10%234.8萬627.62%416.2萬109.68%22.3萬
-其他營運資本變化 -3.27%-113.6萬-2.13%-28.8萬-2.49%-28.8萬-4.06%-28.2萬-4.51%-27.8萬-5.26%-110萬-5.62%-28.2萬-6.04%-28.1萬-4.23%-27.1萬-5.14%-26.6萬
非持續經營活動現金流
經營活動現金淨額 11.85%5,450.8萬100.51%1,169.4萬22.05%2,148.9萬-41.56%874.9萬21.83%1,257.6萬17.83%4,873.1萬-42.75%583.2萬34.49%1,760.6萬80.88%1,497萬5.32%1,032.3萬
投資活動現金流量
持續投資活動現金淨額 97.31%-287.7萬-3.62%-4,875.4萬3,689.87%7,474.1萬87.46%-404.4萬3.54%-2,482萬-13.63%-1.07億-3,761.56%-4,705.1萬95.54%-208.2萬10.35%-3,224.3萬-99.03%-2,573萬
其他金融機構的計息存款收益 --0--0--0--0--0-60.40%9.9萬--0--0--0--9.9萬
投資產品交易淨現金流 -13.63%2,873.6萬-155.77%-506萬128.87%1,375.5萬16.48%1,084.4萬3.58%919.7萬-47.45%3,327.2萬-30.17%907.3萬-50.31%601萬-14.41%931萬-67.54%887.9萬
貸款淨收益 78.37%-3,065.9萬25.53%-3,911.2萬867.96%5,722.1萬53.50%-1,900.4萬27.25%-2,976.4萬8.35%-1.42億-253.34%-5,251.7萬87.23%-745.1萬9.46%-4,087.2萬-12.69%-4,091.3萬
固定資產交易的淨現金流 -161.98%-997.9萬-923.06%-461.4萬-67.61%-83.3萬56.58%-70.3萬-208.29%-382.9萬-88.75%-380.9萬9.26%-45.1萬-30.10%-49.7萬-71.50%-161.9萬-536.92%-124.2萬
業務交易的淨現金流 ----------------------0----------------
其他投資活動的淨現金流 77.48%902.5萬101.01%3.2萬3,293.06%459.8萬413.75%481.9萬-105.69%-42.4萬547.23%508.5萬-186.42%-315.6萬---14.4萬192.96%93.8萬297.01%744.7萬
非持續投資現金淨額
投資活動現金流淨額 97.31%-287.7萬-3.62%-4,875.4萬3,689.87%7,474.1萬87.46%-404.4萬3.54%-2,482萬-13.63%-1.07億-3,761.56%-4,705.1萬95.54%-208.2萬10.35%-3,224.3萬-99.03%-2,573萬
融資活動現金流量
持續融資活動現金淨額 -110.57%-857.4萬-374.01%-1,065.9萬-382.99%-1,950.1萬-106.89%-277.2萬-18.94%2,435.8萬96.21%8,109.2萬119.29%389萬-67.50%689.1萬131.49%4,026萬31.25%3,005.1萬
存款的增減 74.31%1.92億-183.95%-269.8萬23.21%6,726.7萬21,335.19%8,102.5萬-10.60%4,650.9萬190.92%1.1億-95.61%321.4萬19.02%5,459.4萬106.40%37.8萬169.08%5,202.2萬
債務發行/償還的淨現金流 -937.11%-1.78億-361.20%-557.4萬-88.79%-8,513.7萬-267.18%-7,506.3萬35.69%-1,228.7萬-204.08%-1,716.9萬102.34%213.4萬-110.02%-4,509.6萬57.15%4,489.9萬-119.01%-1,910.6萬
普通股發行/償還的淨現金流 -200.69%-1,435.5萬52.27%-4.2萬100.49%5,000-128.10%-648.5萬-848.31%-783.3萬9.22%-477.4萬83.73%-8.8萬17.59%-101.7萬9.72%-284.3萬-146.57%-82.6萬
現金股利支付 -9.76%-898.8萬-15.58%-242.6萬-12.44%-226.9萬-3.59%-210.7萬-7.26%-218.6萬0.40%-818.9萬-3.04%-209.9萬1.51%-201.8萬1.45%-203.4萬1.64%-203.8萬
職工行使股票期權收到的現金 -28.44%72.7萬-88.89%8.1萬47.90%63.3萬-1.43%-14.2萬15,600.00%15.5萬135.73%101.6萬136.69%72.9萬391.95%42.8萬-129.51%-14萬-101.03%-1,000
非持續融資活動現金淨額
融資活動現金流淨額 -110.57%-857.4萬-374.01%-1,065.9萬-382.99%-1,950.1萬-106.89%-277.2萬-18.94%2,435.8萬96.21%8,109.2萬119.29%389萬-67.50%689.1萬131.49%4,026萬31.25%3,005.1萬
現金淨流量
期初現金流 29.96%9,854.8萬39.33%1.89億-0.76%1.13億22.31%1.11億29.96%9,854.8萬-13.24%7,583.1萬60.76%1.36億17.12%1.13億-15.58%9,047.5萬-13.24%7,583.1萬
當期現金流變化 89.54%4,305.7萬-27.83%-4,771.9萬242.31%7,672.9萬-91.59%193.3萬-17.28%1,211.4萬296.34%2,271.7萬-329.61%-3,732.9萬281.45%2,241.5萬323.22%2,298.7萬-25.93%1,464.4萬
期末現金流 43.69%1.42億43.69%1.42億39.33%1.89億-0.76%1.13億22.31%1.11億29.96%9,854.8萬29.96%9,854.8萬60.76%1.36億17.12%1.13億-15.58%9,047.5萬
自由現金流 -0.74%4,434.2萬33.94%708萬21.76%2,065.6萬-40.81%790.3萬-4.08%870.3萬13.58%4,467.4萬-45.45%528.6萬33.48%1,696.4萬82.09%1,335.1萬-5.52%907.3萬
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