美股市場個股詳情

TFS Financial (TFSL)

添加自選
  • 15.310
  • -0.010-0.07%
收盤價 05/15 16:00 (美東)
  • 15.330
  • +0.020+0.13%
盤後 20:01 (美東)
42.93億總市值46.39市盈率TTM

TFS Financial (TFSL) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2026/03/31
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額
-16.89%1,764萬
28.99%5,874.8萬
-6.98%8,241.9萬
81.08%-1,110.3萬
-72.35%2,675.2萬
49.36%2,122.5萬
25.38%4,554.5萬
-2.34%8,860萬
-524.42%-5,868萬
186.48%9,674.3萬
持續經營淨收入
10.59%2,324.7萬
-0.68%2,227.4萬
14.29%9,095.9萬
42.73%2,599.9萬
7.82%2,151.3萬
1.49%2,102.1萬
8.30%2,242.6萬
5.76%7,958.8萬
-6.81%1,821.5萬
13.35%1,995.3萬
持續經營損益
-46.93%-174.4萬
-108.88%-232.9萬
-94.47%-534.2萬
-110.17%-231.4萬
-0.41%-72.6萬
-168.55%-118.7萬
-131.81%-111.5萬
-451.61%-274.7萬
-1,025.21%-110.1萬
-3,342.86%-72.3萬
折舊和攤銷
5.28%584.7萬
17.86%625.7萬
21.09%2,304.8萬
25.79%623.8萬
19.44%594.7萬
23.01%555.4萬
15.89%530.9萬
5.07%1,903.4萬
4.89%495.9萬
7.05%497.9萬
遞延稅費
-60.00%1.2萬
-930.00%-10.3萬
-49.96%135.2萬
-54.38%132.4萬
109.76%8,000
132.26%3萬
60.00%-1萬
-27.60%270.2萬
-25.70%290.2萬
-331.58%-8.2萬
其他非現金項目
5.90%-381.2萬
31.50%1,273.8萬
-2.68%-2,755.8萬
-2,185.94%-2,536.5萬
55.10%-782.9萬
59.13%-405.1萬
1,472.10%968.7萬
-133.14%-2,683.9萬
121.54%121.6萬
-1,277.31%-1,743.6萬
營運資金變動
-126.19%-901.8萬
117.37%1,825.7萬
-237.56%-1,218.6萬
76.66%-2,059.4萬
-95.48%399.6萬
-83.56%-398.7萬
-23.15%839.9萬
409.21%885.9萬
-652.38%-8,824.7萬
1,048.14%8,834.9萬
-應收款項(增)減
109.42%14.2萬
-36.14%645.6萬
124.14%103.9萬
27.30%-619.1萬
-185.86%-137.2萬
-330.43%-150.7萬
415.77%1,010.9萬
89.07%-430.4萬
45.61%-851.6萬
128.57%159.8萬
-應付款項及遞延費用(減)增
-269.35%-916萬
790.12%1,180.1萬
-200.47%-1,322.5萬
81.94%-1,440.3萬
-93.81%536.8萬
12.24%-248萬
-119.07%-171萬
-63.93%1,316.3萬
-2,129.29%-7,973.1萬
552.80%8,675.1萬
非持續經營活動現金流
經營活動現金淨額
-16.89%1,764萬
28.99%5,874.8萬
-6.98%8,241.9萬
81.08%-1,110.3萬
-72.35%2,675.2萬
49.36%2,122.5萬
25.38%4,554.5萬
-2.34%8,860萬
-524.42%-5,868萬
186.48%9,674.3萬
投資活動現金流量
持續投資活動現金淨額
80.81%-836.9萬
612.66%1,397萬
-207.90%-3.84億
34.20%-7,361.6萬
-514.45%-2.64億
-160.58%-4,360萬
93.49%-272.5萬
87.64%-1.25億
60.68%-1.12億
88.61%-4,297.2萬
投資產品交易淨現金流
87.00%-256.7萬
512.83%6,819萬
22.09%1,000萬
-40.96%647.7萬
543.73%1,213.6萬
-1,281.33%-1,974萬
748.80%1,112.7萬
113.41%819.1萬
1,965.91%1,097萬
92.96%-273.5萬
貸款淨收益
133.59%781.3萬
-194.54%-5,366.3萬
-146.53%-3.79億
40.47%-7,556.5萬
-452.29%-2.62億
-141.50%-2,326.1萬
48.48%-1,821.9萬
83.12%-1.54億
55.68%-1.27億
85.31%-4,739.1萬
固定資產交易的淨現金流
38.85%-424.8萬
-160.91%-166.2萬
-273.79%-1,145.3萬
-199.72%-214.3萬
-106.95%-172.6萬
-755.54%-694.7萬
9.39%-63.7萬
39.93%-306.4萬
32.10%-71.5萬
47.38%-83.4萬
其他投資活動的淨現金流
-247.56%-936.7萬
-77.92%110.5萬
-115.75%-374.9萬
-149.60%-238.5萬
-259.19%-1,271.6萬
-57.87%634.8萬
223.40%500.4萬
174.34%2,380.7萬
102.36%480.8萬
156.34%798.8萬
非持續投資現金淨額
投資活動現金流淨額
80.81%-836.9萬
612.66%1,397萬
-207.90%-3.84億
34.20%-7,361.6萬
-514.45%-2.64億
-160.58%-4,360萬
93.49%-272.5萬
87.64%-1.25億
60.68%-1.12億
88.61%-4,297.2萬
融資活動現金流量
持續融資活動現金淨額
-243.30%-2,869.9萬
-11.92%-4,544.8萬
707.97%2.67億
-16.60%6,157.7萬
358.11%2.26億
145.92%2,002.7萬
-144.85%-4,060.7萬
-96.74%3,308.1萬
-75.49%7,383.3萬
-124.46%-8,767萬
為回購而出售的聯邦基金和證券
----
--1.5億
--0
----
----
----
--0
--0
--0
--0
存款的增減
-197.79%-1.88億
-631.93%-7,676.3萬
-64.41%2.61億
-36.91%1.06億
-158.06%-5,184.4萬
1,567.00%1.92億
-96.89%1,443.1萬
40.82%7.32億
-55.26%1.68億
33.32%8,929.9萬
債務發行/償還的淨現金流
527.68%3.41億
46.27%-6,663.2萬
117.19%8,257.5萬
47.66%-1,238.9萬
321.98%2.99億
-1.07%-7,962.6萬
49.05%-1.24億
-169.72%-4.8億
85.51%-2,367萬
-158.01%-1.35億
普通股發行/償還的淨現金流
---208.8萬
-289.57%-298.8萬
-106.60%-397.7萬
-246,500.00%-246.6萬
-12,300.00%-74.4萬
--0
60.01%-76.7萬
67.80%-192.5萬
99.71%-1,000
-50.00%-6,000
現金股利支付
-0.22%-1,493.1萬
-1.44%-1,511.2萬
-0.98%-5,953.3萬
-0.77%-1,486.4萬
-1.16%-1,487.4萬
-1.15%-1,489.8萬
-0.85%-1,489.7萬
-1.13%-5,895.3萬
-1.30%-1,475萬
-1.03%-1,470.4萬
其他融資活動的淨現金流額
81.64%-1,426萬
-140.12%-3,395.3萬
92.15%-1,240萬
73.81%-1,453.1萬
82.52%-484.9萬
-302.41%-7,765.4萬
174.81%8,463.4萬
-265.76%-1.58億
-153.02%-5,548萬
-137.40%-2,774.2萬
非持續融資活動現金淨額
融資活動現金流淨額
-243.30%-2,869.9萬
-11.92%-4,544.8萬
707.97%2.67億
-16.60%6,157.7萬
358.11%2.26億
145.92%2,002.7萬
-144.85%-4,060.7萬
-96.74%3,308.1萬
-75.49%7,383.3萬
-124.46%-8,767萬
現金淨流量
期初現金流
-1.98%4.57億
-7.39%4.29億
-0.65%4.64億
-19.24%4.53億
-22.00%4.64億
-15.56%4.66億
-0.65%4.64億
26.30%4.67億
28.48%5.6億
41.13%5.94億
當期現金流變化
-727.43%-1,942.8萬
1,132.26%2,727萬
-1,032.07%-3,427.9萬
76.07%-2,314.2萬
67.54%-1,100.2萬
-105.52%-234.8萬
-97.40%221.3萬
-103.12%-302.8萬
-416.78%-9,671.7萬
-324.69%-3,389.9萬
期末現金流
-5.67%4.37億
-1.98%4.57億
-7.39%4.29億
-7.39%4.29億
-19.24%4.53億
-22.00%4.64億
-15.56%4.66億
-0.65%4.64億
-0.65%4.64億
28.48%5.6億
自由現金流
-6.21%1,339.2萬
27.12%5,708.6萬
-17.03%7,096.6萬
77.70%-1,324.6萬
-73.91%2,502.6萬
6.56%1,427.8萬
26.06%4,490.8萬
-0.10%8,553.6萬
-565.00%-5,939.5萬
197.99%9,590.9萬
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
--
--
--
--
無保留意見
--
--
(Q2)2026/03/31(Q1)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額 -16.89%1,764萬28.99%5,874.8萬-6.98%8,241.9萬81.08%-1,110.3萬-72.35%2,675.2萬49.36%2,122.5萬25.38%4,554.5萬-2.34%8,860萬-524.42%-5,868萬186.48%9,674.3萬
持續經營淨收入 10.59%2,324.7萬-0.68%2,227.4萬14.29%9,095.9萬42.73%2,599.9萬7.82%2,151.3萬1.49%2,102.1萬8.30%2,242.6萬5.76%7,958.8萬-6.81%1,821.5萬13.35%1,995.3萬
持續經營損益 -46.93%-174.4萬-108.88%-232.9萬-94.47%-534.2萬-110.17%-231.4萬-0.41%-72.6萬-168.55%-118.7萬-131.81%-111.5萬-451.61%-274.7萬-1,025.21%-110.1萬-3,342.86%-72.3萬
折舊和攤銷 5.28%584.7萬17.86%625.7萬21.09%2,304.8萬25.79%623.8萬19.44%594.7萬23.01%555.4萬15.89%530.9萬5.07%1,903.4萬4.89%495.9萬7.05%497.9萬
遞延稅費 -60.00%1.2萬-930.00%-10.3萬-49.96%135.2萬-54.38%132.4萬109.76%8,000132.26%3萬60.00%-1萬-27.60%270.2萬-25.70%290.2萬-331.58%-8.2萬
其他非現金項目 5.90%-381.2萬31.50%1,273.8萬-2.68%-2,755.8萬-2,185.94%-2,536.5萬55.10%-782.9萬59.13%-405.1萬1,472.10%968.7萬-133.14%-2,683.9萬121.54%121.6萬-1,277.31%-1,743.6萬
營運資金變動 -126.19%-901.8萬117.37%1,825.7萬-237.56%-1,218.6萬76.66%-2,059.4萬-95.48%399.6萬-83.56%-398.7萬-23.15%839.9萬409.21%885.9萬-652.38%-8,824.7萬1,048.14%8,834.9萬
-應收款項(增)減 109.42%14.2萬-36.14%645.6萬124.14%103.9萬27.30%-619.1萬-185.86%-137.2萬-330.43%-150.7萬415.77%1,010.9萬89.07%-430.4萬45.61%-851.6萬128.57%159.8萬
-應付款項及遞延費用(減)增 -269.35%-916萬790.12%1,180.1萬-200.47%-1,322.5萬81.94%-1,440.3萬-93.81%536.8萬12.24%-248萬-119.07%-171萬-63.93%1,316.3萬-2,129.29%-7,973.1萬552.80%8,675.1萬
非持續經營活動現金流
經營活動現金淨額 -16.89%1,764萬28.99%5,874.8萬-6.98%8,241.9萬81.08%-1,110.3萬-72.35%2,675.2萬49.36%2,122.5萬25.38%4,554.5萬-2.34%8,860萬-524.42%-5,868萬186.48%9,674.3萬
投資活動現金流量
持續投資活動現金淨額 80.81%-836.9萬612.66%1,397萬-207.90%-3.84億34.20%-7,361.6萬-514.45%-2.64億-160.58%-4,360萬93.49%-272.5萬87.64%-1.25億60.68%-1.12億88.61%-4,297.2萬
投資產品交易淨現金流 87.00%-256.7萬512.83%6,819萬22.09%1,000萬-40.96%647.7萬543.73%1,213.6萬-1,281.33%-1,974萬748.80%1,112.7萬113.41%819.1萬1,965.91%1,097萬92.96%-273.5萬
貸款淨收益 133.59%781.3萬-194.54%-5,366.3萬-146.53%-3.79億40.47%-7,556.5萬-452.29%-2.62億-141.50%-2,326.1萬48.48%-1,821.9萬83.12%-1.54億55.68%-1.27億85.31%-4,739.1萬
固定資產交易的淨現金流 38.85%-424.8萬-160.91%-166.2萬-273.79%-1,145.3萬-199.72%-214.3萬-106.95%-172.6萬-755.54%-694.7萬9.39%-63.7萬39.93%-306.4萬32.10%-71.5萬47.38%-83.4萬
其他投資活動的淨現金流 -247.56%-936.7萬-77.92%110.5萬-115.75%-374.9萬-149.60%-238.5萬-259.19%-1,271.6萬-57.87%634.8萬223.40%500.4萬174.34%2,380.7萬102.36%480.8萬156.34%798.8萬
非持續投資現金淨額
投資活動現金流淨額 80.81%-836.9萬612.66%1,397萬-207.90%-3.84億34.20%-7,361.6萬-514.45%-2.64億-160.58%-4,360萬93.49%-272.5萬87.64%-1.25億60.68%-1.12億88.61%-4,297.2萬
融資活動現金流量
持續融資活動現金淨額 -243.30%-2,869.9萬-11.92%-4,544.8萬707.97%2.67億-16.60%6,157.7萬358.11%2.26億145.92%2,002.7萬-144.85%-4,060.7萬-96.74%3,308.1萬-75.49%7,383.3萬-124.46%-8,767萬
為回購而出售的聯邦基金和證券 ------1.5億--0--------------0--0--0--0
存款的增減 -197.79%-1.88億-631.93%-7,676.3萬-64.41%2.61億-36.91%1.06億-158.06%-5,184.4萬1,567.00%1.92億-96.89%1,443.1萬40.82%7.32億-55.26%1.68億33.32%8,929.9萬
債務發行/償還的淨現金流 527.68%3.41億46.27%-6,663.2萬117.19%8,257.5萬47.66%-1,238.9萬321.98%2.99億-1.07%-7,962.6萬49.05%-1.24億-169.72%-4.8億85.51%-2,367萬-158.01%-1.35億
普通股發行/償還的淨現金流 ---208.8萬-289.57%-298.8萬-106.60%-397.7萬-246,500.00%-246.6萬-12,300.00%-74.4萬--060.01%-76.7萬67.80%-192.5萬99.71%-1,000-50.00%-6,000
現金股利支付 -0.22%-1,493.1萬-1.44%-1,511.2萬-0.98%-5,953.3萬-0.77%-1,486.4萬-1.16%-1,487.4萬-1.15%-1,489.8萬-0.85%-1,489.7萬-1.13%-5,895.3萬-1.30%-1,475萬-1.03%-1,470.4萬
其他融資活動的淨現金流額 81.64%-1,426萬-140.12%-3,395.3萬92.15%-1,240萬73.81%-1,453.1萬82.52%-484.9萬-302.41%-7,765.4萬174.81%8,463.4萬-265.76%-1.58億-153.02%-5,548萬-137.40%-2,774.2萬
非持續融資活動現金淨額
融資活動現金流淨額 -243.30%-2,869.9萬-11.92%-4,544.8萬707.97%2.67億-16.60%6,157.7萬358.11%2.26億145.92%2,002.7萬-144.85%-4,060.7萬-96.74%3,308.1萬-75.49%7,383.3萬-124.46%-8,767萬
現金淨流量
期初現金流 -1.98%4.57億-7.39%4.29億-0.65%4.64億-19.24%4.53億-22.00%4.64億-15.56%4.66億-0.65%4.64億26.30%4.67億28.48%5.6億41.13%5.94億
當期現金流變化 -727.43%-1,942.8萬1,132.26%2,727萬-1,032.07%-3,427.9萬76.07%-2,314.2萬67.54%-1,100.2萬-105.52%-234.8萬-97.40%221.3萬-103.12%-302.8萬-416.78%-9,671.7萬-324.69%-3,389.9萬
期末現金流 -5.67%4.37億-1.98%4.57億-7.39%4.29億-7.39%4.29億-19.24%4.53億-22.00%4.64億-15.56%4.66億-0.65%4.64億-0.65%4.64億28.48%5.6億
自由現金流 -6.21%1,339.2萬27.12%5,708.6萬-17.03%7,096.6萬77.70%-1,324.6萬-73.91%2,502.6萬6.56%1,427.8萬26.06%4,490.8萬-0.10%8,553.6萬-565.00%-5,939.5萬197.99%9,590.9萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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