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卡尼金融儲蓄 (KRNY)

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  • 7.935
  • +0.025+0.32%
交易中 01/16 14:03 (美東)
5.14億總市值16.88市盈率TTM

卡尼金融儲蓄 (KRNY) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-40.76%150.4萬
-43.67%2,477.1萬
11.44%808.8萬
-4.37%1,680萬
-138.71%-265.6萬
-79.33%253.9萬
-36.78%4,397.1萬
-37.69%725.8萬
-19.58%1,756.7萬
-55.30%686.2萬
持續經營淨收入
56.04%950.6萬
130.09%2,607.5萬
107.51%676.9萬
-10.13%664.8萬
147.49%656.6萬
-38.10%609.2萬
-312.36%-8,666.7萬
-849.85%-9,007.9萬
-28.27%739.7萬
-808.71%-1,382.7萬
持續經營損益
-1,043.02%-98.3萬
-100.94%-17.3萬
271.13%36萬
-121.95%-15.3萬
-101.63%-29.4萬
74.17%-8.6萬
28.80%1,847.5萬
-52.22%9.7萬
-70.57%69.7萬
48.28%1,801.4萬
折舊和攤銷
-5.92%116.1萬
-7.13%488.1萬
-5.45%119.7萬
-7.02%120.5萬
-6.39%124.5萬
-9.53%123.4萬
-16.52%525.6萬
-16.33%126.6萬
-17.14%129.6萬
-17.03%133萬
遞延稅費
116.23%189.2萬
-8.65%-94.2萬
71.10%-95.5萬
37.92%-74.5萬
-109.65%-11.7萬
-63.93%87.5萬
-131.09%-86.7萬
-815.51%-330.5萬
-210.88%-120萬
429.26%121.2萬
其他非現金項目
78.16%-65.9萬
-101.79%-22.3萬
131.94%41.9萬
-107.20%-60.9萬
3,776.62%298.5萬
-157.40%-301.8萬
-22.85%1,248.5萬
64.66%-131.2萬
100.90%846.2萬
128.62%7.7萬
營運資金變動
-204.18%-1,017.8萬
15.61%-1,038.9萬
-639.08%-240.2萬
7,936.13%956.3萬
-230.10%-1,420.4萬
57.11%-334.6萬
32.49%-1,231萬
-123.26%-32.5萬
-94.13%11.9萬
-30.59%-430.3萬
-應收款項(增)減
-2,622.22%-136.2萬
202.52%142.3萬
-72.60%42.3萬
7.19%-74.9萬
444.51%169.5萬
103.31%5.4萬
81.90%-138.8萬
133.59%154.4萬
43.41%-80.7萬
86.14%-49.2萬
-應付款項及遞延費用(減)增
-229.72%-210.8萬
-454.12%-473.1萬
-186.32%-75.1萬
-215.75%-88.2萬
-94.36%-472.3萬
-23.85%162.5萬
-86.33%133.6萬
23.76%87萬
-72.83%76.2萬
-173.91%-243萬
-其他流動資產變化
32.72%64.5萬
231.98%651.7萬
42.21%151.6萬
333.27%1,187.6萬
-501.36%-736.1萬
104.59%48.6萬
-274.30%-493.8萬
-61.09%106.6萬
-51.09%274.1萬
1,172.51%183.4萬
-其他流動負債變化
-58.42%-466.4萬
-309.10%-314.9萬
-6.03%-89.7萬
307.78%188.8萬
41.77%-119.6萬
-174.66%-294.4萬
110.36%150.6萬
23.23%-84.6萬
113.72%46.3萬
-1,121.89%-205.4萬
-其他營運資本變化
-4.75%-268.9萬
-18.39%-1,044.9萬
8.99%-269.3萬
15.46%-257萬
-125.58%-261.9萬
-54.08%-256.7萬
-2.09%-882.6萬
-84.36%-295.9萬
-92.28%-304萬
62.08%-116.1萬
非持續經營活動現金流
經營活動現金淨額
-40.76%150.4萬
-43.67%2,477.1萬
11.44%808.8萬
-4.37%1,680萬
-138.71%-265.6萬
-79.33%253.9萬
-36.78%4,397.1萬
-37.69%725.8萬
-19.58%1,756.7萬
-55.30%686.2萬
投資活動現金流量
持續投資活動現金淨額
353.79%6,226.5萬
-84.07%4,110.9萬
-45.77%3,028.5萬
-145.00%-1,867.1萬
-83.58%1,577.4萬
-78.80%1,372.1萬
161.76%2.58億
-64.50%5,584.4萬
-16.24%4,149萬
122.93%9,605.8萬
投資產品交易淨現金流
-60.22%1,174.2萬
-46.61%9,160.2萬
-113.92%-439萬
-24.33%2,949.5萬
-67.73%3,697.6萬
318.54%2,952.1萬
399.64%1.72億
13.45%3,154.1萬
16.94%3,897.8萬
292.09%1.15億
貸款淨收益
222.57%4,571萬
-182.75%-6,677.1萬
57.92%3,585.6萬
-178.56%-5,049.8萬
-27.05%-1,483.6萬
-142.48%-3,729.3萬
118.55%8,069.4萬
-81.79%2,270.5萬
-175.37%-1,812.8萬
96.58%-1,167.7萬
固定資產交易的淨現金流
266.81%226.2萬
-149.41%-336.7萬
23.47%-78.6萬
55.02%-13萬
-332.81%-109.5萬
-719.18%-135.6萬
-163.53%-135萬
-927.00%-102.7萬
50.77%-28.9萬
-106.84%-25.3萬
其他投資活動的淨現金流
-88.84%255.1萬
510.21%1,964.5萬
95.78%-39.5萬
-88.24%246.2萬
19.97%-527.1萬
333.75%2,284.9萬
75.56%-478.9萬
-304.08%-935.7萬
388.16%2,092.9萬
68.62%-658.6萬
非持續投資現金淨額
投資活動現金流淨額
353.79%6,226.5萬
-84.07%4,110.9萬
-45.77%3,028.5萬
-145.00%-1,867.1萬
-83.58%1,577.4萬
-78.80%1,372.1萬
161.76%2.58億
-64.50%5,584.4萬
-16.24%4,149萬
122.93%9,605.8萬
融資活動現金流量
持續融資活動現金淨額
-233.73%-1.01億
112.15%3,752.5萬
103.99%280.1萬
78.04%-1,358.8萬
68.55%-2,713.8萬
183.55%7,545萬
-197.31%-3.09億
76.02%-7,026.5萬
-230.22%-6,189萬
-122.52%-8,627.9萬
存款的增減
-113.87%-4,333.3萬
209.78%5.17億
36.91%-3,212.7萬
132.82%3,629.2萬
275.11%2.01億
260.20%3.12億
-102.33%-4.71億
70.77%-5,092.2萬
34.15%-1.11億
16.30%-1.15億
債務發行/償還的淨現金流
78.26%-5,000萬
-323.95%-4.54億
440.00%4,250萬
-181.82%-4,500萬
-652.50%-2.21億
-291.67%-2.3億
-66.53%2.03億
88.10%-1,250萬
-75.88%5,500萬
-92.48%4,000萬
普通股發行/償還的淨現金流
-18.91%-41.5萬
96.91%-36.2萬
7.14%-1.3萬
--0
--0
94.92%-34.9萬
58.16%-1,172.4萬
99.78%-1.4萬
98.95%-7.1萬
16.92%-477.3萬
現金股利支付
-1.20%-709.5萬
-0.25%-2,763.4萬
-0.64%-689.5萬
0.23%-687.5萬
-0.60%-685.3萬
-0.01%-701.1萬
3.28%-2,756.4萬
1.79%-685.1萬
3.93%-689.1萬
4.15%-681.2萬
其他融資活動的淨現金流額
-113.49%-5.6萬
305.38%190.8萬
-3,118.18%-66.4萬
209.30%199.5萬
198.18%16.2萬
129.00%41.5萬
-158.35%-92.9萬
105.98%2.2萬
-53.90%64.5萬
-121.94%-16.5萬
非持續融資活動現金淨額
融資活動現金流淨額
-233.73%-1.01億
112.15%3,752.5萬
103.99%280.1萬
78.04%-1,358.8萬
68.55%-2,713.8萬
183.55%7,545萬
-197.31%-3.09億
76.02%-7,026.5萬
-230.22%-6,189萬
-122.52%-8,627.9萬
現金淨流量
期初現金流
161.91%1.67億
-9.43%6,386.4萬
77.53%1.26億
91.65%1.42億
171.89%1.56億
-9.43%6,386.4萬
-30.61%7,051.5萬
-63.50%7,102.7萬
-2.38%7,386萬
-40.44%5,721.9萬
當期現金流變化
-140.49%-3,713萬
1,654.73%1.03億
674.82%4,117.4萬
-445.68%-1,545.9萬
-184.25%-1,402萬
789.76%9,171萬
78.61%-665.1萬
94.23%-716.3萬
-102.38%-283.3萬
181.51%1,664.1萬
期末現金流
-16.35%1.3億
161.91%1.67億
161.91%1.67億
77.53%1.26億
91.65%1.42億
171.89%1.56億
-9.43%6,386.4萬
-9.43%6,386.4萬
-63.50%7,102.7萬
-2.38%7,386萬
自由現金流
-3.81%113.7萬
-49.82%2,138.8萬
17.19%730.2萬
-3.61%1,665.5萬
-154.94%-375.1萬
-90.38%118.2萬
-37.50%4,262.1萬
-46.04%623.1萬
-18.72%1,727.8萬
-56.14%682.8萬
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(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -40.76%150.4萬-43.67%2,477.1萬11.44%808.8萬-4.37%1,680萬-138.71%-265.6萬-79.33%253.9萬-36.78%4,397.1萬-37.69%725.8萬-19.58%1,756.7萬-55.30%686.2萬
持續經營淨收入 56.04%950.6萬130.09%2,607.5萬107.51%676.9萬-10.13%664.8萬147.49%656.6萬-38.10%609.2萬-312.36%-8,666.7萬-849.85%-9,007.9萬-28.27%739.7萬-808.71%-1,382.7萬
持續經營損益 -1,043.02%-98.3萬-100.94%-17.3萬271.13%36萬-121.95%-15.3萬-101.63%-29.4萬74.17%-8.6萬28.80%1,847.5萬-52.22%9.7萬-70.57%69.7萬48.28%1,801.4萬
折舊和攤銷 -5.92%116.1萬-7.13%488.1萬-5.45%119.7萬-7.02%120.5萬-6.39%124.5萬-9.53%123.4萬-16.52%525.6萬-16.33%126.6萬-17.14%129.6萬-17.03%133萬
遞延稅費 116.23%189.2萬-8.65%-94.2萬71.10%-95.5萬37.92%-74.5萬-109.65%-11.7萬-63.93%87.5萬-131.09%-86.7萬-815.51%-330.5萬-210.88%-120萬429.26%121.2萬
其他非現金項目 78.16%-65.9萬-101.79%-22.3萬131.94%41.9萬-107.20%-60.9萬3,776.62%298.5萬-157.40%-301.8萬-22.85%1,248.5萬64.66%-131.2萬100.90%846.2萬128.62%7.7萬
營運資金變動 -204.18%-1,017.8萬15.61%-1,038.9萬-639.08%-240.2萬7,936.13%956.3萬-230.10%-1,420.4萬57.11%-334.6萬32.49%-1,231萬-123.26%-32.5萬-94.13%11.9萬-30.59%-430.3萬
-應收款項(增)減 -2,622.22%-136.2萬202.52%142.3萬-72.60%42.3萬7.19%-74.9萬444.51%169.5萬103.31%5.4萬81.90%-138.8萬133.59%154.4萬43.41%-80.7萬86.14%-49.2萬
-應付款項及遞延費用(減)增 -229.72%-210.8萬-454.12%-473.1萬-186.32%-75.1萬-215.75%-88.2萬-94.36%-472.3萬-23.85%162.5萬-86.33%133.6萬23.76%87萬-72.83%76.2萬-173.91%-243萬
-其他流動資產變化 32.72%64.5萬231.98%651.7萬42.21%151.6萬333.27%1,187.6萬-501.36%-736.1萬104.59%48.6萬-274.30%-493.8萬-61.09%106.6萬-51.09%274.1萬1,172.51%183.4萬
-其他流動負債變化 -58.42%-466.4萬-309.10%-314.9萬-6.03%-89.7萬307.78%188.8萬41.77%-119.6萬-174.66%-294.4萬110.36%150.6萬23.23%-84.6萬113.72%46.3萬-1,121.89%-205.4萬
-其他營運資本變化 -4.75%-268.9萬-18.39%-1,044.9萬8.99%-269.3萬15.46%-257萬-125.58%-261.9萬-54.08%-256.7萬-2.09%-882.6萬-84.36%-295.9萬-92.28%-304萬62.08%-116.1萬
非持續經營活動現金流
經營活動現金淨額 -40.76%150.4萬-43.67%2,477.1萬11.44%808.8萬-4.37%1,680萬-138.71%-265.6萬-79.33%253.9萬-36.78%4,397.1萬-37.69%725.8萬-19.58%1,756.7萬-55.30%686.2萬
投資活動現金流量
持續投資活動現金淨額 353.79%6,226.5萬-84.07%4,110.9萬-45.77%3,028.5萬-145.00%-1,867.1萬-83.58%1,577.4萬-78.80%1,372.1萬161.76%2.58億-64.50%5,584.4萬-16.24%4,149萬122.93%9,605.8萬
投資產品交易淨現金流 -60.22%1,174.2萬-46.61%9,160.2萬-113.92%-439萬-24.33%2,949.5萬-67.73%3,697.6萬318.54%2,952.1萬399.64%1.72億13.45%3,154.1萬16.94%3,897.8萬292.09%1.15億
貸款淨收益 222.57%4,571萬-182.75%-6,677.1萬57.92%3,585.6萬-178.56%-5,049.8萬-27.05%-1,483.6萬-142.48%-3,729.3萬118.55%8,069.4萬-81.79%2,270.5萬-175.37%-1,812.8萬96.58%-1,167.7萬
固定資產交易的淨現金流 266.81%226.2萬-149.41%-336.7萬23.47%-78.6萬55.02%-13萬-332.81%-109.5萬-719.18%-135.6萬-163.53%-135萬-927.00%-102.7萬50.77%-28.9萬-106.84%-25.3萬
其他投資活動的淨現金流 -88.84%255.1萬510.21%1,964.5萬95.78%-39.5萬-88.24%246.2萬19.97%-527.1萬333.75%2,284.9萬75.56%-478.9萬-304.08%-935.7萬388.16%2,092.9萬68.62%-658.6萬
非持續投資現金淨額
投資活動現金流淨額 353.79%6,226.5萬-84.07%4,110.9萬-45.77%3,028.5萬-145.00%-1,867.1萬-83.58%1,577.4萬-78.80%1,372.1萬161.76%2.58億-64.50%5,584.4萬-16.24%4,149萬122.93%9,605.8萬
融資活動現金流量
持續融資活動現金淨額 -233.73%-1.01億112.15%3,752.5萬103.99%280.1萬78.04%-1,358.8萬68.55%-2,713.8萬183.55%7,545萬-197.31%-3.09億76.02%-7,026.5萬-230.22%-6,189萬-122.52%-8,627.9萬
存款的增減 -113.87%-4,333.3萬209.78%5.17億36.91%-3,212.7萬132.82%3,629.2萬275.11%2.01億260.20%3.12億-102.33%-4.71億70.77%-5,092.2萬34.15%-1.11億16.30%-1.15億
債務發行/償還的淨現金流 78.26%-5,000萬-323.95%-4.54億440.00%4,250萬-181.82%-4,500萬-652.50%-2.21億-291.67%-2.3億-66.53%2.03億88.10%-1,250萬-75.88%5,500萬-92.48%4,000萬
普通股發行/償還的淨現金流 -18.91%-41.5萬96.91%-36.2萬7.14%-1.3萬--0--094.92%-34.9萬58.16%-1,172.4萬99.78%-1.4萬98.95%-7.1萬16.92%-477.3萬
現金股利支付 -1.20%-709.5萬-0.25%-2,763.4萬-0.64%-689.5萬0.23%-687.5萬-0.60%-685.3萬-0.01%-701.1萬3.28%-2,756.4萬1.79%-685.1萬3.93%-689.1萬4.15%-681.2萬
其他融資活動的淨現金流額 -113.49%-5.6萬305.38%190.8萬-3,118.18%-66.4萬209.30%199.5萬198.18%16.2萬129.00%41.5萬-158.35%-92.9萬105.98%2.2萬-53.90%64.5萬-121.94%-16.5萬
非持續融資活動現金淨額
融資活動現金流淨額 -233.73%-1.01億112.15%3,752.5萬103.99%280.1萬78.04%-1,358.8萬68.55%-2,713.8萬183.55%7,545萬-197.31%-3.09億76.02%-7,026.5萬-230.22%-6,189萬-122.52%-8,627.9萬
現金淨流量
期初現金流 161.91%1.67億-9.43%6,386.4萬77.53%1.26億91.65%1.42億171.89%1.56億-9.43%6,386.4萬-30.61%7,051.5萬-63.50%7,102.7萬-2.38%7,386萬-40.44%5,721.9萬
當期現金流變化 -140.49%-3,713萬1,654.73%1.03億674.82%4,117.4萬-445.68%-1,545.9萬-184.25%-1,402萬789.76%9,171萬78.61%-665.1萬94.23%-716.3萬-102.38%-283.3萬181.51%1,664.1萬
期末現金流 -16.35%1.3億161.91%1.67億161.91%1.67億77.53%1.26億91.65%1.42億171.89%1.56億-9.43%6,386.4萬-9.43%6,386.4萬-63.50%7,102.7萬-2.38%7,386萬
自由現金流 -3.81%113.7萬-49.82%2,138.8萬17.19%730.2萬-3.61%1,665.5萬-154.94%-375.1萬-90.38%118.2萬-37.50%4,262.1萬-46.04%623.1萬-18.72%1,727.8萬-56.14%682.8萬
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