美股市场个股详情

Bogota Financial (BSBK)

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  • 8.520
  • 0.0000.00%
收盘价 01/06 16:00 (美东)
1.10亿总市值213.00市盈率TTM

Bogota Financial (BSBK) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2023/12/31
(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
201.60%29.25万
16.32%192.01万
99.44%-1.6万
-278.10%-255.99万
-364.60%-104.2万
-523.11%-28.79万
338.01%165.07万
-336.76%-288.07万
-86.76%143.74万
-112.61%-22.43万
持续经营净收入
223.89%45.46万
151.89%22.44万
265.76%73.09万
-437.79%-217.04万
21.04%-93万
-1,163.07%-36.7万
-150.49%-43.25万
-144.42%-44.1万
-90.66%64.25万
-161.88%-117.78万
持续经营损益
--0
---8,768
---2.91万
-262.02%-10.63万
---9.46万
----
----
----
66.20%-2.94万
--0
折旧和摊销
-17.15%13.93万
3.89%16.35万
-12.14%8.45万
6.83%48.97万
-47.00%6.8万
21.92%16.81万
63.98%15.74万
-0.01%9.62万
79.48%45.84万
110.65%12.83万
递延税费
3.04%-62.19万
-525.08%-6.96万
--0
26.72%-45.75万
239.22%71.39万
---64.13万
114.68%1.64万
---54.65万
-224.06%-62.44万
-269.95%-51.28万
其他非现金项目
-5.88%-22.17万
-2.12%-21.96万
-245.90%-73.32万
-11.65%-83.98万
1.96%-20.34万
-5.83%-20.94万
-23.60%-21.51万
-22.64%-21.2万
-234.99%-75.22万
-12.52%-20.75万
营运资金变动
-50.19%19.34万
-18.67%147.24万
89.13%-23.47万
-225.18%-67.26万
-159.61%-71.25万
282.14%38.84万
617.83%181.03万
-2,169.19%-215.87万
-51.31%53.73万
248.04%119.53万
-应收款项(增)减
28.81%-8.7万
61.90%-7.39万
178.21%8.13万
-985.19%-29.98万
146.33%12.04万
14.36%-12.23万
-178.50%-19.4万
-154.87%-10.39万
102.70%3.39万
53.20%-25.99万
-其他流动资产变化
16.71%39.5万
-11.77%172.27万
108.09%18万
65.48%-39.7万
-225.72%-46.24万
133.93%33.85万
12,584.95%195.25万
-315.14%-222.55万
-166.10%-115.03万
284.96%36.78万
-其他流动负债变化
-166.51%-11.45万
-440.29%-17.64万
-390.52%-49.59万
-98.54%2.42万
-134.07%-37.05万
-81.42%17.22万
108.47%5.18万
-32.13%17.07万
167.86%165.37万
2,142.55%108.74万
非持续经营活动现金流
经营活动现金净额
201.60%29.25万
16.32%192.01万
99.44%-1.6万
-278.10%-255.99万
-364.60%-104.2万
-523.11%-28.79万
338.01%165.07万
-336.76%-288.07万
-86.76%143.74万
-112.61%-22.43万
投资活动现金流量
持续投资活动现金净额
866.21%833.35万
107.61%92.05万
153.17%1,545.1万
-52.94%1,012.69万
566.59%5,042.08万
557.50%86.25万
-151.02%-1,209.82万
-442.62%-2,905.82万
110.21%2,152.02万
-1,099.24%-1,080.63万
投资产品交易净现金流
-856.34%-1,623.43万
32.15%-722.34万
109.61%345.16万
-119.27%-399.99万
931.07%4,041.71万
-56.94%214.64万
-157.45%-1,064.68万
-1,807.15%-3,591.66万
137.16%2,075.81万
-148.99%-486.33万
贷款净收益
11,902.04%2,383.78万
5,821.13%800.51万
67.96%1,057.63万
-32.34%284.53万
23.63%-338.48万
95.40%-20.2万
-97.79%13.52万
-8.72%629.69万
102.82%420.53万
62.89%-443.19万
固定资产交易的净现金流
64.19%-1.54万
--0
86.41%-3.62万
3,706.00%1,146.83万
22,580.51%1,201.13万
57.84%-4.31万
-239.35%-23.38万
-184.42%-26.61万
-31.71%-31.8万
5.81%-5.34万
其他投资活动的净现金流
171.76%74.55万
110.26%13.88万
76.33%145.93万
94.02%-18.69万
194.47%137.71万
-187.07%-103.89万
-54.08%-135.27万
293.50%82.76万
44.58%-312.52万
-224.31%-145.77万
非持续投资现金净额
投资活动现金流净额
866.21%833.35万
107.61%92.05万
153.17%1,545.1万
-52.94%1,012.69万
566.59%5,042.08万
557.50%86.25万
-151.02%-1,209.82万
-442.62%-2,905.82万
110.21%2,152.02万
-1,099.24%-1,080.63万
融资活动现金流量
持续融资活动现金净额
-19.29%228.93万
-161.38%-811.69万
-292.70%-4,205.74万
232.73%1,973.58万
-265.25%-1,814.91万
166.97%283.64万
167.54%1,322.37万
1,171.66%2,182.48万
-113.32%-1,486.9万
316.37%1,098.27万
存款的增减
193.28%1,852.33万
70.74%-480.39万
-122.77%-915.44万
122.17%1,685.24万
164.90%1,293.18万
-76.20%-1,985.84万
51.92%-1,641.63万
476.16%4,019.53万
-173.08%-7,602.54万
-159.89%-1,992.57万
债务发行/偿还的净现金流
-171.54%-1,653.16万
-112.71%-382.89万
-76.43%-3,240.31万
-93.11%450.34万
-193.80%-3,037.26万
186.15%2,310.66万
97.93%3,013.53万
-288.81%-1,836.59万
277.00%6,540.76万
225.64%3,238.01万
普通股发行/偿还的净现金流
185.78%35.59万
--0
-47.65%-39.82万
55.50%-169.54万
62.92%-27.61万
49.54%-41.49万
12.58%-73.47万
80.77%-26.97万
62.16%-381.02万
81.90%-74.46万
其他融资活动的净现金流额
-2,036.59%-5.83万
115.49%51.6万
-138.36%-10.17万
117.12%7.55万
40.56%-43.21万
101.38%3,012
33.88%23.94万
-18.44%26.51万
-238.43%-44.1万
2.70%-72.7万
非持续融资活动现金净额
融资活动现金流净额
-19.29%228.93万
-161.38%-811.69万
-292.70%-4,205.74万
232.73%1,973.58万
-265.25%-1,814.91万
166.97%283.64万
167.54%1,322.37万
1,171.66%2,182.48万
-113.32%-1,486.9万
316.37%1,098.27万
现金净流量
期初现金流
15.59%2,033.36万
72.86%2,560.98万
109.52%5,223.22万
48.03%2,492.95万
-15.91%2,100.25万
-39.37%1,759.15万
-39.53%1,481.54万
48.03%2,492.95万
-83.97%1,684.09万
87.44%2,497.73万
当期现金流变化
220.00%1,091.52万
-290.05%-527.63万
-163.22%-2,662.24万
237.55%2,730.27万
65,365.81%3,122.97万
184.51%341.1万
-38.46%277.62万
-232.01%-1,011.41万
109.17%808.86万
-101.36%-4.79万
期末现金流
48.79%3,124.88万
15.59%2,033.36万
72.86%2,560.98万
109.52%5,223.22万
109.52%5,223.22万
-15.91%2,100.25万
-39.37%1,759.15万
-39.53%1,481.54万
48.03%2,492.95万
48.03%2,492.95万
自由现金流
183.72%27.71万
35.52%192.01万
98.34%-5.22万
-381.84%-315.47万
-293.87%-109.38万
-870.40%-33.09万
360.09%141.68万
-380.17%-314.68万
-89.46%111.93万
-116.13%-27.77万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
(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(FY)2023/12/31(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 201.60%29.25万16.32%192.01万99.44%-1.6万-278.10%-255.99万-364.60%-104.2万-523.11%-28.79万338.01%165.07万-336.76%-288.07万-86.76%143.74万-112.61%-22.43万
持续经营净收入 223.89%45.46万151.89%22.44万265.76%73.09万-437.79%-217.04万21.04%-93万-1,163.07%-36.7万-150.49%-43.25万-144.42%-44.1万-90.66%64.25万-161.88%-117.78万
持续经营损益 --0---8,768---2.91万-262.02%-10.63万---9.46万------------66.20%-2.94万--0
折旧和摊销 -17.15%13.93万3.89%16.35万-12.14%8.45万6.83%48.97万-47.00%6.8万21.92%16.81万63.98%15.74万-0.01%9.62万79.48%45.84万110.65%12.83万
递延税费 3.04%-62.19万-525.08%-6.96万--026.72%-45.75万239.22%71.39万---64.13万114.68%1.64万---54.65万-224.06%-62.44万-269.95%-51.28万
其他非现金项目 -5.88%-22.17万-2.12%-21.96万-245.90%-73.32万-11.65%-83.98万1.96%-20.34万-5.83%-20.94万-23.60%-21.51万-22.64%-21.2万-234.99%-75.22万-12.52%-20.75万
营运资金变动 -50.19%19.34万-18.67%147.24万89.13%-23.47万-225.18%-67.26万-159.61%-71.25万282.14%38.84万617.83%181.03万-2,169.19%-215.87万-51.31%53.73万248.04%119.53万
-应收款项(增)减 28.81%-8.7万61.90%-7.39万178.21%8.13万-985.19%-29.98万146.33%12.04万14.36%-12.23万-178.50%-19.4万-154.87%-10.39万102.70%3.39万53.20%-25.99万
-其他流动资产变化 16.71%39.5万-11.77%172.27万108.09%18万65.48%-39.7万-225.72%-46.24万133.93%33.85万12,584.95%195.25万-315.14%-222.55万-166.10%-115.03万284.96%36.78万
-其他流动负债变化 -166.51%-11.45万-440.29%-17.64万-390.52%-49.59万-98.54%2.42万-134.07%-37.05万-81.42%17.22万108.47%5.18万-32.13%17.07万167.86%165.37万2,142.55%108.74万
非持续经营活动现金流
经营活动现金净额 201.60%29.25万16.32%192.01万99.44%-1.6万-278.10%-255.99万-364.60%-104.2万-523.11%-28.79万338.01%165.07万-336.76%-288.07万-86.76%143.74万-112.61%-22.43万
投资活动现金流量
持续投资活动现金净额 866.21%833.35万107.61%92.05万153.17%1,545.1万-52.94%1,012.69万566.59%5,042.08万557.50%86.25万-151.02%-1,209.82万-442.62%-2,905.82万110.21%2,152.02万-1,099.24%-1,080.63万
投资产品交易净现金流 -856.34%-1,623.43万32.15%-722.34万109.61%345.16万-119.27%-399.99万931.07%4,041.71万-56.94%214.64万-157.45%-1,064.68万-1,807.15%-3,591.66万137.16%2,075.81万-148.99%-486.33万
贷款净收益 11,902.04%2,383.78万5,821.13%800.51万67.96%1,057.63万-32.34%284.53万23.63%-338.48万95.40%-20.2万-97.79%13.52万-8.72%629.69万102.82%420.53万62.89%-443.19万
固定资产交易的净现金流 64.19%-1.54万--086.41%-3.62万3,706.00%1,146.83万22,580.51%1,201.13万57.84%-4.31万-239.35%-23.38万-184.42%-26.61万-31.71%-31.8万5.81%-5.34万
其他投资活动的净现金流 171.76%74.55万110.26%13.88万76.33%145.93万94.02%-18.69万194.47%137.71万-187.07%-103.89万-54.08%-135.27万293.50%82.76万44.58%-312.52万-224.31%-145.77万
非持续投资现金净额
投资活动现金流净额 866.21%833.35万107.61%92.05万153.17%1,545.1万-52.94%1,012.69万566.59%5,042.08万557.50%86.25万-151.02%-1,209.82万-442.62%-2,905.82万110.21%2,152.02万-1,099.24%-1,080.63万
融资活动现金流量
持续融资活动现金净额 -19.29%228.93万-161.38%-811.69万-292.70%-4,205.74万232.73%1,973.58万-265.25%-1,814.91万166.97%283.64万167.54%1,322.37万1,171.66%2,182.48万-113.32%-1,486.9万316.37%1,098.27万
存款的增减 193.28%1,852.33万70.74%-480.39万-122.77%-915.44万122.17%1,685.24万164.90%1,293.18万-76.20%-1,985.84万51.92%-1,641.63万476.16%4,019.53万-173.08%-7,602.54万-159.89%-1,992.57万
债务发行/偿还的净现金流 -171.54%-1,653.16万-112.71%-382.89万-76.43%-3,240.31万-93.11%450.34万-193.80%-3,037.26万186.15%2,310.66万97.93%3,013.53万-288.81%-1,836.59万277.00%6,540.76万225.64%3,238.01万
普通股发行/偿还的净现金流 185.78%35.59万--0-47.65%-39.82万55.50%-169.54万62.92%-27.61万49.54%-41.49万12.58%-73.47万80.77%-26.97万62.16%-381.02万81.90%-74.46万
其他融资活动的净现金流额 -2,036.59%-5.83万115.49%51.6万-138.36%-10.17万117.12%7.55万40.56%-43.21万101.38%3,01233.88%23.94万-18.44%26.51万-238.43%-44.1万2.70%-72.7万
非持续融资活动现金净额
融资活动现金流净额 -19.29%228.93万-161.38%-811.69万-292.70%-4,205.74万232.73%1,973.58万-265.25%-1,814.91万166.97%283.64万167.54%1,322.37万1,171.66%2,182.48万-113.32%-1,486.9万316.37%1,098.27万
现金净流量
期初现金流 15.59%2,033.36万72.86%2,560.98万109.52%5,223.22万48.03%2,492.95万-15.91%2,100.25万-39.37%1,759.15万-39.53%1,481.54万48.03%2,492.95万-83.97%1,684.09万87.44%2,497.73万
当期现金流变化 220.00%1,091.52万-290.05%-527.63万-163.22%-2,662.24万237.55%2,730.27万65,365.81%3,122.97万184.51%341.1万-38.46%277.62万-232.01%-1,011.41万109.17%808.86万-101.36%-4.79万
期末现金流 48.79%3,124.88万15.59%2,033.36万72.86%2,560.98万109.52%5,223.22万109.52%5,223.22万-15.91%2,100.25万-39.37%1,759.15万-39.53%1,481.54万48.03%2,492.95万48.03%2,492.95万
自由现金流 183.72%27.71万35.52%192.01万98.34%-5.22万-381.84%-315.47万-293.87%-109.38万-870.40%-33.09万360.09%141.68万-380.17%-314.68万-89.46%111.93万-116.13%-27.77万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见--------无保留意见--
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