美股市場個股詳情

Old National Bancorp (ONB)

添加自選
  • 23.290
  • -0.300-1.27%
收盤價 05/15 16:00 (美東)
  • 23.290
  • 0.0000.00%
盤後 17:28 (美東)
89.99億總市值12.01市盈率TTM

Old National Bancorp (ONB) 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
90.50%2.06億
9.51%6.81億
-32.48%1.59億
181.24%3.41億
-54.73%7,288.3萬
3.82%1.08億
20.52%6.22億
223.72%2.36億
-46.98%1.21億
-0.03%1.61億
持續經營淨收入
61.53%2.34億
24.12%6.69億
40.78%2.17億
26.96%1.83億
3.45%1.25億
20.26%1.45億
-7.35%5.39億
16.15%1.54億
-2.76%1.44億
-21.81%1.21億
持續經營損益
60.33%-271.7萬
-48.48%-1,123.4萬
-207.52%-175.9萬
25.72%-231萬
88.10%-31.6萬
-457.28%-684.9萬
58.98%-756.6萬
97.53%-57.2萬
-605.22%-311萬
-197.98%-265.5萬
折舊和攤銷
131.16%3,785.7萬
88.33%1.24億
129.96%3,884.4萬
124.34%3,794.3萬
82.33%3,043.9萬
8.22%1,637.7萬
5.29%6,563.2萬
6.33%1,689.2萬
6.94%1,691.3萬
8.93%1,669.4萬
遞延稅費
107.68%711.1萬
95.95%2,611.8萬
115.58%982.2萬
115.35%705.7萬
111.69%581.5萬
24.55%342.4萬
-13.26%1,332.9萬
-36.72%455.6萬
23.94%327.7萬
-0.54%274.7萬
其他非現金項目
-25.44%430.9萬
-68.93%405.8萬
4.96%3,165.9萬
117.89%58.1萬
-240.39%-3,396.1萬
249.02%577.9萬
1,487.99%1,306.1萬
83.94%3,016.3萬
-297.27%-324.7萬
33.02%-997.7萬
營運資金變動
19.11%-7,492.9萬
-102.95%-2.26億
-1,735.40%-1.31億
299.93%1.26億
-7,891.99%-1.29億
-70.46%-9,263.1萬
43.27%-1.11億
111.56%799.1萬
-277.29%-6,322.8萬
91.86%-161.1萬
-應收款項(增)減
-46.32%773.1萬
-1,611.30%-6,138.9萬
-41.67%-1,046.2萬
-271.12%-2,597.8萬
-333.25%-3,935.2萬
169.27%1,440.3萬
111.73%406.2萬
52.83%-738.5萬
452.64%1,518.1萬
43.97%-908.3萬
-應付款項及遞延費用(減)增
-1.03%-1.29億
-324.56%-1.71億
-148.05%-1,799.1萬
217.52%2,033.3萬
-555.04%-4,555.4萬
-81.32%-1.28億
49.63%-4,024.1萬
194.18%3,744萬
-128.23%-1,730.1萬
-72.05%1,001.1萬
-其他流動資產變化
107.27%5,385.1萬
161.55%3,325萬
-511.20%-9,513.3萬
350.25%1.4億
-1,263.13%-3,722萬
83.81%2,598.1萬
18.23%-5,402.3萬
-56.37%-1,556.5萬
-217.44%-5,579.3萬
109.22%320萬
-其他營運資本變化
-40.51%-756.1萬
-27.08%-2,667萬
-9.23%-709.9萬
-42.33%-756.5萬
-15.44%-662.5萬
-56.70%-538.1萬
-36.31%-2,098.7萬
-72.25%-649.9萬
-42.11%-531.5萬
-22.16%-573.9萬
非持續經營活動現金流
經營活動現金淨額
90.50%2.06億
9.51%6.81億
-32.48%1.59億
181.24%3.41億
-54.73%7,288.3萬
3.82%1.08億
20.52%6.22億
223.72%2.36億
-46.98%1.21億
-0.03%1.61億
投資活動現金流量
持續投資活動現金淨額
-300.22%-10.83億
-33.74%-18.35億
-495.60%-6.99億
-51.37%-4.51億
-117.52%-4.14億
64.69%-2.71億
24.57%-13.72億
54.40%-1.17億
-10.18%-2.98億
70.74%-1.91億
投資產品交易淨現金流
23.16%-9,930.9萬
-75.81%-6.88億
145.62%1.06億
-577.27%-3.15億
-1,525.07%-3.5億
4.85%-1.29億
-333.98%-3.91億
-437.99%-2.33億
66.09%-4,645.4萬
-59.36%2,457.6萬
貸款淨收益
-574.66%-9.63億
-7.40%-12.37億
-798.48%-7.85億
79.02%-5,172.9萬
34.39%-2.57億
77.20%-1.43億
39.88%-11.52億
134.45%1.12億
-42.77%-2.47億
44.64%-3.92億
固定資產交易的淨現金流
-176.06%-1,273.2萬
-45.36%-4,169.6萬
-223.79%-2,187.5萬
-57.02%-640.8萬
6.02%-880.1萬
45.63%-461.2萬
17.72%-2,868.4萬
34.41%-675.6萬
57.13%-408.1萬
-56.21%-936.5萬
業務交易的淨現金流
----
-24.00%1.35億
--0
---6,140萬
----
----
--1.78億
--0
--0
----
其他投資活動的淨現金流
-235.99%-814.7萬
-116.34%-357.7萬
-80.67%200.7萬
-1,688.07%-1,693.3萬
-37.44%535.8萬
53.97%599.1萬
162.25%2,189.2萬
-0.04%1,038.3萬
-101.94%-94.7萬
225.54%856.5萬
非持續投資現金淨額
投資活動現金流淨額
-300.22%-10.83億
-33.74%-18.35億
-495.60%-6.99億
-51.37%-4.51億
-117.52%-4.14億
64.69%-2.71億
24.57%-13.72億
54.40%-1.17億
-10.18%-2.98億
70.74%-1.91億
融資活動現金流量
持續融資活動現金淨額
362.03%8.05億
118.24%17.52億
932.76%6.83億
-111.88%-1,605.9萬
181.77%9.1億
-59.15%1.74億
-54.12%8.03億
73.01%-8,203.4萬
-73.34%1.35億
-43.71%3.23億
為回購而出售的聯邦基金和證券
391.49%1.04億
365.29%4,307.2萬
175.97%8,396.8萬
-224.65%-3.6億
79.76%2.98億
-46.41%2,106.6萬
97.77%-1,623.6萬
-2,067.76%-1.11億
33.76%-1.11億
129.40%1.66億
存款的增減
176.89%5.84億
36.37%14.02億
469.65%8,201萬
-21.24%6.67億
269.68%4.42億
-54.55%2.11億
-53.98%10.28億
-26.81%-2,218.6萬
-17.09%8.47億
-119.84%-2.61億
債務發行/償還的淨現金流
6,826.68%2.81億
1,624.87%1.59億
505.07%6.01億
56.71%-2.39億
-144.27%-2.07億
116.09%405.2萬
-102.23%-1,041.3萬
140.14%9,926.2萬
-83.09%-5.52億
458.82%4.67億
普通股發行/償還的淨現金流
-680.75%-1.04億
4,845.55%3.73億
-2,782.91%-2,401.2萬
-3,046.76%-2,570.9萬
43,179.62%4.36億
-92.11%-1,328.8萬
81.84%-785萬
277.64%89.5萬
-334.57%-81.7萬
-705.39%-101.1萬
現金股利支付
-23.43%-6,009.4萬
-17.76%-2.25億
-20.44%-5,864.5萬
-20.97%-5,889.7萬
-20.95%-5,888.8萬
-7.97%-4,868.7萬
-6.18%-1.91億
-8.26%-4,869.2萬
-8.27%-4,868.8萬
-8.28%-4,868.9萬
非持續融資活動現金淨額
融資活動現金流淨額
362.03%8.05億
118.24%17.52億
932.76%6.83億
-111.88%-1,605.9萬
181.77%9.1億
-59.15%1.74億
-54.12%8.03億
73.01%-8,203.4萬
-73.34%1.35億
-43.71%3.23億
現金淨流量
期初現金流
48.72%18.26億
4.50%12.28億
41.21%16.83億
46.68%18.09億
31.96%12.4億
4.50%12.28億
61.32%11.75億
-28.37%11.92億
2.94%12.33億
-15.66%9.39億
當期現金流變化
-709.80%-7,202.9萬
1,030.62%5.98億
294.42%1.44億
-203.68%-1.26億
93.76%5.69億
105.01%1,181.2萬
-88.15%5,291萬
107.45%3,639.8萬
-108.91%-4,147.6萬
249.66%2.94億
期末現金流
41.49%17.54億
48.72%18.26億
48.72%18.26億
41.21%16.83億
46.68%18.09億
31.96%12.4億
4.50%12.28億
4.50%12.28億
-28.37%11.92億
2.94%12.33億
自由現金流
88.71%1.93億
7.67%6.37億
-40.04%1.37億
188.46%3.34億
-57.73%6,408.2萬
6.95%1.02億
23.86%5.92億
266.25%2.29億
-46.98%1.16億
-1.60%1.52億
貨幣單位
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會計準則
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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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(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 90.50%2.06億9.51%6.81億-32.48%1.59億181.24%3.41億-54.73%7,288.3萬3.82%1.08億20.52%6.22億223.72%2.36億-46.98%1.21億-0.03%1.61億
持續經營淨收入 61.53%2.34億24.12%6.69億40.78%2.17億26.96%1.83億3.45%1.25億20.26%1.45億-7.35%5.39億16.15%1.54億-2.76%1.44億-21.81%1.21億
持續經營損益 60.33%-271.7萬-48.48%-1,123.4萬-207.52%-175.9萬25.72%-231萬88.10%-31.6萬-457.28%-684.9萬58.98%-756.6萬97.53%-57.2萬-605.22%-311萬-197.98%-265.5萬
折舊和攤銷 131.16%3,785.7萬88.33%1.24億129.96%3,884.4萬124.34%3,794.3萬82.33%3,043.9萬8.22%1,637.7萬5.29%6,563.2萬6.33%1,689.2萬6.94%1,691.3萬8.93%1,669.4萬
遞延稅費 107.68%711.1萬95.95%2,611.8萬115.58%982.2萬115.35%705.7萬111.69%581.5萬24.55%342.4萬-13.26%1,332.9萬-36.72%455.6萬23.94%327.7萬-0.54%274.7萬
其他非現金項目 -25.44%430.9萬-68.93%405.8萬4.96%3,165.9萬117.89%58.1萬-240.39%-3,396.1萬249.02%577.9萬1,487.99%1,306.1萬83.94%3,016.3萬-297.27%-324.7萬33.02%-997.7萬
營運資金變動 19.11%-7,492.9萬-102.95%-2.26億-1,735.40%-1.31億299.93%1.26億-7,891.99%-1.29億-70.46%-9,263.1萬43.27%-1.11億111.56%799.1萬-277.29%-6,322.8萬91.86%-161.1萬
-應收款項(增)減 -46.32%773.1萬-1,611.30%-6,138.9萬-41.67%-1,046.2萬-271.12%-2,597.8萬-333.25%-3,935.2萬169.27%1,440.3萬111.73%406.2萬52.83%-738.5萬452.64%1,518.1萬43.97%-908.3萬
-應付款項及遞延費用(減)增 -1.03%-1.29億-324.56%-1.71億-148.05%-1,799.1萬217.52%2,033.3萬-555.04%-4,555.4萬-81.32%-1.28億49.63%-4,024.1萬194.18%3,744萬-128.23%-1,730.1萬-72.05%1,001.1萬
-其他流動資產變化 107.27%5,385.1萬161.55%3,325萬-511.20%-9,513.3萬350.25%1.4億-1,263.13%-3,722萬83.81%2,598.1萬18.23%-5,402.3萬-56.37%-1,556.5萬-217.44%-5,579.3萬109.22%320萬
-其他營運資本變化 -40.51%-756.1萬-27.08%-2,667萬-9.23%-709.9萬-42.33%-756.5萬-15.44%-662.5萬-56.70%-538.1萬-36.31%-2,098.7萬-72.25%-649.9萬-42.11%-531.5萬-22.16%-573.9萬
非持續經營活動現金流
經營活動現金淨額 90.50%2.06億9.51%6.81億-32.48%1.59億181.24%3.41億-54.73%7,288.3萬3.82%1.08億20.52%6.22億223.72%2.36億-46.98%1.21億-0.03%1.61億
投資活動現金流量
持續投資活動現金淨額 -300.22%-10.83億-33.74%-18.35億-495.60%-6.99億-51.37%-4.51億-117.52%-4.14億64.69%-2.71億24.57%-13.72億54.40%-1.17億-10.18%-2.98億70.74%-1.91億
投資產品交易淨現金流 23.16%-9,930.9萬-75.81%-6.88億145.62%1.06億-577.27%-3.15億-1,525.07%-3.5億4.85%-1.29億-333.98%-3.91億-437.99%-2.33億66.09%-4,645.4萬-59.36%2,457.6萬
貸款淨收益 -574.66%-9.63億-7.40%-12.37億-798.48%-7.85億79.02%-5,172.9萬34.39%-2.57億77.20%-1.43億39.88%-11.52億134.45%1.12億-42.77%-2.47億44.64%-3.92億
固定資產交易的淨現金流 -176.06%-1,273.2萬-45.36%-4,169.6萬-223.79%-2,187.5萬-57.02%-640.8萬6.02%-880.1萬45.63%-461.2萬17.72%-2,868.4萬34.41%-675.6萬57.13%-408.1萬-56.21%-936.5萬
業務交易的淨現金流 -----24.00%1.35億--0---6,140萬----------1.78億--0--0----
其他投資活動的淨現金流 -235.99%-814.7萬-116.34%-357.7萬-80.67%200.7萬-1,688.07%-1,693.3萬-37.44%535.8萬53.97%599.1萬162.25%2,189.2萬-0.04%1,038.3萬-101.94%-94.7萬225.54%856.5萬
非持續投資現金淨額
投資活動現金流淨額 -300.22%-10.83億-33.74%-18.35億-495.60%-6.99億-51.37%-4.51億-117.52%-4.14億64.69%-2.71億24.57%-13.72億54.40%-1.17億-10.18%-2.98億70.74%-1.91億
融資活動現金流量
持續融資活動現金淨額 362.03%8.05億118.24%17.52億932.76%6.83億-111.88%-1,605.9萬181.77%9.1億-59.15%1.74億-54.12%8.03億73.01%-8,203.4萬-73.34%1.35億-43.71%3.23億
為回購而出售的聯邦基金和證券 391.49%1.04億365.29%4,307.2萬175.97%8,396.8萬-224.65%-3.6億79.76%2.98億-46.41%2,106.6萬97.77%-1,623.6萬-2,067.76%-1.11億33.76%-1.11億129.40%1.66億
存款的增減 176.89%5.84億36.37%14.02億469.65%8,201萬-21.24%6.67億269.68%4.42億-54.55%2.11億-53.98%10.28億-26.81%-2,218.6萬-17.09%8.47億-119.84%-2.61億
債務發行/償還的淨現金流 6,826.68%2.81億1,624.87%1.59億505.07%6.01億56.71%-2.39億-144.27%-2.07億116.09%405.2萬-102.23%-1,041.3萬140.14%9,926.2萬-83.09%-5.52億458.82%4.67億
普通股發行/償還的淨現金流 -680.75%-1.04億4,845.55%3.73億-2,782.91%-2,401.2萬-3,046.76%-2,570.9萬43,179.62%4.36億-92.11%-1,328.8萬81.84%-785萬277.64%89.5萬-334.57%-81.7萬-705.39%-101.1萬
現金股利支付 -23.43%-6,009.4萬-17.76%-2.25億-20.44%-5,864.5萬-20.97%-5,889.7萬-20.95%-5,888.8萬-7.97%-4,868.7萬-6.18%-1.91億-8.26%-4,869.2萬-8.27%-4,868.8萬-8.28%-4,868.9萬
非持續融資活動現金淨額
融資活動現金流淨額 362.03%8.05億118.24%17.52億932.76%6.83億-111.88%-1,605.9萬181.77%9.1億-59.15%1.74億-54.12%8.03億73.01%-8,203.4萬-73.34%1.35億-43.71%3.23億
現金淨流量
期初現金流 48.72%18.26億4.50%12.28億41.21%16.83億46.68%18.09億31.96%12.4億4.50%12.28億61.32%11.75億-28.37%11.92億2.94%12.33億-15.66%9.39億
當期現金流變化 -709.80%-7,202.9萬1,030.62%5.98億294.42%1.44億-203.68%-1.26億93.76%5.69億105.01%1,181.2萬-88.15%5,291萬107.45%3,639.8萬-108.91%-4,147.6萬249.66%2.94億
期末現金流 41.49%17.54億48.72%18.26億48.72%18.26億41.21%16.83億46.68%18.09億31.96%12.4億4.50%12.28億4.50%12.28億-28.37%11.92億2.94%12.33億
自由現金流 88.71%1.93億7.67%6.37億-40.04%1.37億188.46%3.34億-57.73%6,408.2萬6.95%1.02億23.86%5.92億266.25%2.29億-46.98%1.16億-1.60%1.52億
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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