美股市場個股詳情

ACNB Corp. (ACNB)

添加自選
  • 50.470
  • -0.200-0.39%
收盤價 04/16 16:00 (美東)
  • 50.470
  • 0.0000.00%
盤後 17:23 (美東)
5.23億總市值14.02市盈率TTM

ACNB Corp. (ACNB) 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
34.84%5,364.3萬
123.54%1,275.5萬
71.17%2,319.7萬
83.00%1,776.2萬
-100.66%-7.1萬
-2.02%3,978.2萬
-33.74%570.6萬
80.26%1,355.2萬
1.59%970.6萬
-27.49%1,081.8萬
持續經營淨收入
16.34%3,705.1萬
63.84%1,080.5萬
106.41%1,487萬
3.27%1,164.8萬
-104.02%-27.2萬
0.50%3,184.6萬
60.97%659.5萬
-20.34%720.4萬
18.43%1,127.9萬
-24.99%676.8萬
持續經營損益
-387.81%-176.1萬
2,859.49%218萬
-951.43%-147.2萬
-4,471.43%-160萬
-712.15%-86.9萬
-107.48%-36.1萬
-101.78%-7.9萬
-3,600.00%-14萬
-115.02%-3.5萬
-168.59%-10.7萬
折舊和攤銷
122.12%673.7萬
130.20%176.1萬
136.29%175.8萬
133.91%177.3萬
88.64%144.5萬
-9.79%303.3萬
-4.73%76.5萬
-9.82%74.4萬
-10.93%75.8萬
-13.25%76.6萬
其他非現金項目
-165.35%-484萬
-1,150.20%-267.8萬
26.36%41.7萬
370.49%587.5萬
-3,467.09%-845.4萬
7.83%-182.4萬
134.74%25.5萬
169.77%33萬
-616.83%-217.2萬
49.47%-23.7萬
營運資金變動
32.52%912.5萬
88.52%-31.8萬
68.92%779.9萬
-97.94%5萬
-38.88%159.4萬
4,098.78%688.6萬
-95.28%-276.9萬
403.95%461.7萬
323.14%243萬
-37.76%260.8萬
-應收款項(增)減
242.20%15.5萬
2.97%-19.6萬
-14.37%42.3萬
259.24%54.3萬
-925.00%-61.5萬
90.64%-10.9萬
42.78%-20.2萬
148.20%49.4萬
-274.87%-34.1萬
-433.33%-6萬
-應付款項及遞延費用(減)增
-202.77%-77.8萬
-685.00%-11.7萬
1,290.48%25萬
-1,389.47%-98萬
-89.88%6.9萬
1.88%75.7萬
-94.22%2萬
-113.38%-2.1萬
-54.76%7.6萬
847.22%68.2萬
-遞延費用變動
365.47%362.6萬
-164.62%-318.1萬
136.67%123萬
941.37%477.9萬
459.46%79.8萬
-67.21%77.9萬
-27.73%492.3萬
6.42%-335.4萬
-573.33%-56.8萬
77.16%-22.2萬
-其他流動資產變化
19.73%640.7萬
208.76%609.4萬
114.59%709萬
-198.65%-400.6萬
-177.21%-277.1萬
171.84%535.1萬
36.78%-560.3萬
244.17%330.4萬
2,771.71%406.1萬
492.24%358.9萬
-其他流動負債變化
-363.89%-28.5萬
-53.02%-291.8萬
-128.47%-119.4萬
64.16%-28.6萬
397.83%411.3萬
-98.09%10.8萬
-397.97%-190.7萬
112.57%419.4萬
43.80%-79.8萬
-130.92%-138.1萬
非持續經營活動現金流
經營活動現金淨額
34.84%5,364.3萬
123.54%1,275.5萬
71.17%2,319.7萬
83.00%1,776.2萬
-100.66%-7.1萬
-2.02%3,978.2萬
-33.74%570.6萬
80.26%1,355.2萬
1.59%970.6萬
-27.49%1,081.8萬
投資活動現金流量
持續投資活動現金淨額
2,562.56%6,464.7萬
-275.92%-1,180.6萬
-84.46%300.4萬
-70.69%-1,547.8萬
711.39%8,892.7萬
-84.27%242.8萬
151.21%671.1萬
158.99%1,933萬
-429.05%-906.8萬
-123.08%-1,454.5萬
投資產品交易淨現金流
-23.86%4,550.6萬
-110.72%-140.4萬
-104.59%-73.9萬
-41.74%398.2萬
83.90%4,366.7萬
-46.00%5,977萬
212.43%1,309.7萬
111.28%1,609.3萬
-83.24%683.5萬
-59.13%2,374.5萬
貸款淨收益
86.79%-729.3萬
69.73%-182萬
107.48%510.2萬
-34.37%-1,967.2萬
124.58%909.7萬
38.38%-5,520.6萬
50.32%-601.3萬
106.00%245.9萬
65.45%-1,464萬
-730.85%-3,701.2萬
資本支出
-12.08%-107.6萬
53.89%-17.2萬
-93.69%-43萬
164.46%18.5萬
-744.87%-65.9萬
17.81%-96萬
62.47%-37.3萬
-226.47%-22.2萬
-497.92%-28.7萬
-34.48%-7.8萬
固定資產交易的淨現金流
----
----
----
----
----
--0
----
----
----
----
業務交易的淨現金流
--3,620.6萬
--0
--0
--0
--3,620.6萬
--0
--0
--0
--0
--0
其他投資活動的淨現金流
-639.46%-869.6萬
---841萬
-192.90%-92.9萬
102.77%2.7萬
151.33%61.6萬
72.77%-117.6萬
--0
19.90%100萬
-3,265.52%-97.6萬
-30.01%-120萬
非持續投資現金淨額
投資活動現金流淨額
2,562.56%6,464.7萬
-275.92%-1,180.6萬
-84.46%300.4萬
-70.69%-1,547.8萬
711.39%8,892.7萬
-84.27%242.8萬
151.21%671.1萬
158.99%1,933萬
-429.05%-906.8萬
-123.08%-1,454.5萬
融資活動現金流量
持續融資活動現金淨額
-64.03%-9,990.4萬
-61.05%-3,744萬
55.50%-2,717.1萬
-169.96%-2,273.8萬
-38.03%-1,255.5萬
61.51%-6,090.6萬
-462.61%-2,324.7萬
-1,263.57%-6,106.4萬
185.84%3,250.1萬
93.11%-909.6萬
存款的增減
-20.80%-8,372.6萬
-1,418.67%-1,561.3萬
-24.06%-5,864.5萬
-559.81%-1,546.8萬
122.57%600萬
79.44%-6,931.2萬
101.32%118.4萬
-281.37%-4,727.1萬
103.65%336.4萬
81.43%-2,658.9萬
債務發行/償還的淨現金流
-53.94%872.6萬
28.32%-1,572.8萬
434.02%3,742.7萬
-103.62%-114.7萬
-157.91%-1,182.6萬
-90.03%1,894.4萬
-122.21%-2,194.3萬
-152.35%-1,120.5萬
-43.85%3,167.1萬
53.08%2,042.1萬
普通股發行/償還的淨現金流
-6,112.57%-1,052.2萬
-1,026.38%-217.7萬
-1,889.63%-241.6萬
-1,483.87%-257.4萬
-780.58%-335.5萬
113.40%17.5萬
185.77%23.5萬
109.81%13.5萬
0.54%18.6萬
-339.62%-38.1萬
現金股利支付
-34.25%-1,438.2萬
-44.03%-392.2萬
-29.89%-353.7萬
-30.48%-354.9萬
-32.47%-337.4萬
-10.42%-1,071.3萬
-6.99%-272.3萬
-14.22%-272.3萬
-13.86%-272萬
-6.84%-254.7萬
非持續融資活動現金淨額
融資活動現金流淨額
-64.03%-9,990.4萬
-61.05%-3,744萬
55.50%-2,717.1萬
-169.96%-2,273.8萬
-38.03%-1,255.5萬
61.51%-6,090.6萬
-462.61%-2,324.7萬
-1,263.57%-6,106.4萬
185.84%3,250.1萬
93.11%-909.6萬
現金淨流量
期初現金流
-28.35%4,726.2萬
75.82%1.02億
19.51%1.03億
132.55%1.24億
-28.35%4,726.2萬
-60.78%6,595.8萬
-9.29%5,809.2萬
2.65%8,627.4萬
-53.42%5,313.5萬
-60.78%6,595.8萬
當期現金流變化
198.34%1,838.6萬
-236.94%-3,649.1萬
96.56%-97萬
-161.72%-2,045.4萬
695.03%7,630.1萬
81.71%-1,869.6萬
-664.95%-1,083萬
-40.90%-2,818.2萬
210.38%3,313.9萬
76.30%-1,282.3萬
期末現金流
38.90%6,564.8萬
38.90%6,564.8萬
75.82%1.02億
19.51%1.03億
132.55%1.24億
-28.35%4,726.2萬
-28.35%4,726.2萬
-9.29%5,809.2萬
2.65%8,627.4萬
-53.42%5,313.5萬
自由現金流
35.41%5,256.7萬
135.95%1,258.3萬
70.80%2,276.7萬
90.54%1,794.7萬
-106.80%-73萬
-1.55%3,882.2萬
-29.99%533.3萬
78.93%1,333萬
-0.92%941.9萬
-27.73%1,074萬
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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--
--
帶解釋段的無保留意見
--
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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 34.84%5,364.3萬123.54%1,275.5萬71.17%2,319.7萬83.00%1,776.2萬-100.66%-7.1萬-2.02%3,978.2萬-33.74%570.6萬80.26%1,355.2萬1.59%970.6萬-27.49%1,081.8萬
持續經營淨收入 16.34%3,705.1萬63.84%1,080.5萬106.41%1,487萬3.27%1,164.8萬-104.02%-27.2萬0.50%3,184.6萬60.97%659.5萬-20.34%720.4萬18.43%1,127.9萬-24.99%676.8萬
持續經營損益 -387.81%-176.1萬2,859.49%218萬-951.43%-147.2萬-4,471.43%-160萬-712.15%-86.9萬-107.48%-36.1萬-101.78%-7.9萬-3,600.00%-14萬-115.02%-3.5萬-168.59%-10.7萬
折舊和攤銷 122.12%673.7萬130.20%176.1萬136.29%175.8萬133.91%177.3萬88.64%144.5萬-9.79%303.3萬-4.73%76.5萬-9.82%74.4萬-10.93%75.8萬-13.25%76.6萬
其他非現金項目 -165.35%-484萬-1,150.20%-267.8萬26.36%41.7萬370.49%587.5萬-3,467.09%-845.4萬7.83%-182.4萬134.74%25.5萬169.77%33萬-616.83%-217.2萬49.47%-23.7萬
營運資金變動 32.52%912.5萬88.52%-31.8萬68.92%779.9萬-97.94%5萬-38.88%159.4萬4,098.78%688.6萬-95.28%-276.9萬403.95%461.7萬323.14%243萬-37.76%260.8萬
-應收款項(增)減 242.20%15.5萬2.97%-19.6萬-14.37%42.3萬259.24%54.3萬-925.00%-61.5萬90.64%-10.9萬42.78%-20.2萬148.20%49.4萬-274.87%-34.1萬-433.33%-6萬
-應付款項及遞延費用(減)增 -202.77%-77.8萬-685.00%-11.7萬1,290.48%25萬-1,389.47%-98萬-89.88%6.9萬1.88%75.7萬-94.22%2萬-113.38%-2.1萬-54.76%7.6萬847.22%68.2萬
-遞延費用變動 365.47%362.6萬-164.62%-318.1萬136.67%123萬941.37%477.9萬459.46%79.8萬-67.21%77.9萬-27.73%492.3萬6.42%-335.4萬-573.33%-56.8萬77.16%-22.2萬
-其他流動資產變化 19.73%640.7萬208.76%609.4萬114.59%709萬-198.65%-400.6萬-177.21%-277.1萬171.84%535.1萬36.78%-560.3萬244.17%330.4萬2,771.71%406.1萬492.24%358.9萬
-其他流動負債變化 -363.89%-28.5萬-53.02%-291.8萬-128.47%-119.4萬64.16%-28.6萬397.83%411.3萬-98.09%10.8萬-397.97%-190.7萬112.57%419.4萬43.80%-79.8萬-130.92%-138.1萬
非持續經營活動現金流
經營活動現金淨額 34.84%5,364.3萬123.54%1,275.5萬71.17%2,319.7萬83.00%1,776.2萬-100.66%-7.1萬-2.02%3,978.2萬-33.74%570.6萬80.26%1,355.2萬1.59%970.6萬-27.49%1,081.8萬
投資活動現金流量
持續投資活動現金淨額 2,562.56%6,464.7萬-275.92%-1,180.6萬-84.46%300.4萬-70.69%-1,547.8萬711.39%8,892.7萬-84.27%242.8萬151.21%671.1萬158.99%1,933萬-429.05%-906.8萬-123.08%-1,454.5萬
投資產品交易淨現金流 -23.86%4,550.6萬-110.72%-140.4萬-104.59%-73.9萬-41.74%398.2萬83.90%4,366.7萬-46.00%5,977萬212.43%1,309.7萬111.28%1,609.3萬-83.24%683.5萬-59.13%2,374.5萬
貸款淨收益 86.79%-729.3萬69.73%-182萬107.48%510.2萬-34.37%-1,967.2萬124.58%909.7萬38.38%-5,520.6萬50.32%-601.3萬106.00%245.9萬65.45%-1,464萬-730.85%-3,701.2萬
資本支出 -12.08%-107.6萬53.89%-17.2萬-93.69%-43萬164.46%18.5萬-744.87%-65.9萬17.81%-96萬62.47%-37.3萬-226.47%-22.2萬-497.92%-28.7萬-34.48%-7.8萬
固定資產交易的淨現金流 ----------------------0----------------
業務交易的淨現金流 --3,620.6萬--0--0--0--3,620.6萬--0--0--0--0--0
其他投資活動的淨現金流 -639.46%-869.6萬---841萬-192.90%-92.9萬102.77%2.7萬151.33%61.6萬72.77%-117.6萬--019.90%100萬-3,265.52%-97.6萬-30.01%-120萬
非持續投資現金淨額
投資活動現金流淨額 2,562.56%6,464.7萬-275.92%-1,180.6萬-84.46%300.4萬-70.69%-1,547.8萬711.39%8,892.7萬-84.27%242.8萬151.21%671.1萬158.99%1,933萬-429.05%-906.8萬-123.08%-1,454.5萬
融資活動現金流量
持續融資活動現金淨額 -64.03%-9,990.4萬-61.05%-3,744萬55.50%-2,717.1萬-169.96%-2,273.8萬-38.03%-1,255.5萬61.51%-6,090.6萬-462.61%-2,324.7萬-1,263.57%-6,106.4萬185.84%3,250.1萬93.11%-909.6萬
存款的增減 -20.80%-8,372.6萬-1,418.67%-1,561.3萬-24.06%-5,864.5萬-559.81%-1,546.8萬122.57%600萬79.44%-6,931.2萬101.32%118.4萬-281.37%-4,727.1萬103.65%336.4萬81.43%-2,658.9萬
債務發行/償還的淨現金流 -53.94%872.6萬28.32%-1,572.8萬434.02%3,742.7萬-103.62%-114.7萬-157.91%-1,182.6萬-90.03%1,894.4萬-122.21%-2,194.3萬-152.35%-1,120.5萬-43.85%3,167.1萬53.08%2,042.1萬
普通股發行/償還的淨現金流 -6,112.57%-1,052.2萬-1,026.38%-217.7萬-1,889.63%-241.6萬-1,483.87%-257.4萬-780.58%-335.5萬113.40%17.5萬185.77%23.5萬109.81%13.5萬0.54%18.6萬-339.62%-38.1萬
現金股利支付 -34.25%-1,438.2萬-44.03%-392.2萬-29.89%-353.7萬-30.48%-354.9萬-32.47%-337.4萬-10.42%-1,071.3萬-6.99%-272.3萬-14.22%-272.3萬-13.86%-272萬-6.84%-254.7萬
非持續融資活動現金淨額
融資活動現金流淨額 -64.03%-9,990.4萬-61.05%-3,744萬55.50%-2,717.1萬-169.96%-2,273.8萬-38.03%-1,255.5萬61.51%-6,090.6萬-462.61%-2,324.7萬-1,263.57%-6,106.4萬185.84%3,250.1萬93.11%-909.6萬
現金淨流量
期初現金流 -28.35%4,726.2萬75.82%1.02億19.51%1.03億132.55%1.24億-28.35%4,726.2萬-60.78%6,595.8萬-9.29%5,809.2萬2.65%8,627.4萬-53.42%5,313.5萬-60.78%6,595.8萬
當期現金流變化 198.34%1,838.6萬-236.94%-3,649.1萬96.56%-97萬-161.72%-2,045.4萬695.03%7,630.1萬81.71%-1,869.6萬-664.95%-1,083萬-40.90%-2,818.2萬210.38%3,313.9萬76.30%-1,282.3萬
期末現金流 38.90%6,564.8萬38.90%6,564.8萬75.82%1.02億19.51%1.03億132.55%1.24億-28.35%4,726.2萬-28.35%4,726.2萬-9.29%5,809.2萬2.65%8,627.4萬-53.42%5,313.5萬
自由現金流 35.41%5,256.7萬135.95%1,258.3萬70.80%2,276.7萬90.54%1,794.7萬-106.80%-73萬-1.55%3,882.2萬-29.99%533.3萬78.93%1,333萬-0.92%941.9萬-27.73%1,074萬
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