美股市場個股詳情

First Mid Bancshares (FMBH)

添加自選
  • 43.580
  • 0.0000.00%
收盤價 04/14 16:00 (美東)
11.60億總市值11.38市盈率TTM

First Mid Bancshares (FMBH) 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
5.18%1.31億
10.27%4,220.3萬
-0.27%3,304萬
-67.68%774.7萬
64.84%4,788.4萬
71.82%1.24億
32.67%3,827.4萬
512.29%3,313.1萬
34.27%2,397.2萬
43.06%2,904.8萬
持續經營淨收入
16.29%9,174.9萬
23.53%2,367.8萬
15.30%2,246.2萬
18.70%2,343.8萬
8.14%2,217.1萬
14.45%7,889.8萬
6.07%1,916.8萬
28.87%1,948.2萬
19.18%1,974.5萬
6.90%2,050.3萬
持續經營損益
-17.65%-283.9萬
-510.74%-110.9萬
66.79%-51.8萬
-8.99%-97萬
-3.86%-24.2萬
45.80%-241.3萬
208.00%27萬
58.24%-156萬
-191.80%-89萬
-44.72%-23.3萬
折舊和攤銷
-4.85%1,977.1萬
-4.56%491.3萬
-5.45%499.4萬
-2.83%486.8萬
-6.41%499.6萬
39.41%2,077.8萬
4.36%514.8萬
70.22%528.2萬
48.09%501萬
53.17%533.8萬
遞延稅費
-496.27%-233.8萬
----
----
----
----
-96.48%59萬
----
----
----
----
其他非現金項目
188.88%238.9萬
142.37%77.8萬
40.67%223.1萬
14.59%-348.9萬
662.55%286.9萬
-2.40%-268.8萬
-90.89%32.1萬
156.97%158.6萬
-85.68%-408.5萬
56.19%-51萬
營運資金變動
-54.96%957.8萬
56.02%1,328.5萬
-101.83%-11.9萬
-864.35%-1,933.8萬
325.56%1,575萬
173.72%2,126.5萬
156.16%851.5萬
151.46%651.9萬
619.51%253萬
804.95%370.1萬
-應收款項(增)減
63.17%-131萬
769.05%168.6萬
-242.51%-363.4萬
-260.70%-54.8萬
145.88%118.6萬
-31.94%-355.7萬
-118.08%-25.2萬
69.40%-106.1萬
235.86%34.1萬
-594.89%-258.5萬
-應付款項及遞延費用(減)增
942.86%226.3萬
50.94%-57.7萬
-9.47%120.5萬
117.57%14.9萬
63.30%148.6萬
-79.23%21.7萬
6.74%-117.6萬
1.22%133.1萬
-119.12%-84.8萬
-33.96%91萬
-其他流動資產變化
-68.48%1,056.6萬
-26.60%890.1萬
-116.87%-56.7萬
-351.81%-1,888.6萬
100.42%2,111.8萬
263.04%3,352.4萬
166.59%1,212.6萬
141.30%336.1萬
91.33%750萬
464.38%1,053.7萬
-其他流動負債變化
184.32%353.4萬
577.39%460.2萬
1.18%413.2萬
135.25%115.3萬
-57.25%-635.3萬
-150.36%-419.1萬
-123.99%-96.4萬
401.40%408.4萬
-26.78%-327.1萬
-129.94%-404萬
-其他營運資本變化
-15.80%-547.5萬
-8.86%-132.7萬
-4.93%-125.5萬
-1.17%-120.6萬
-50.49%-168.7萬
4.62%-472.8萬
-10.52%-121.9萬
-16.80%-119.6萬
-0.25%-119.2萬
31.69%-112.1萬
非持續經營活動現金流
經營活動現金淨額
5.18%1.31億
10.27%4,220.3萬
-0.27%3,304萬
-67.68%774.7萬
64.84%4,788.4萬
71.82%1.24億
32.67%3,827.4萬
512.29%3,313.1萬
34.27%2,397.2萬
43.06%2,904.8萬
投資活動現金流量
持續投資活動現金淨額
-3,930.16%-3.03億
-247.83%-1.63億
-54.84%-4,616.2萬
-247.09%-9,766.9萬
-95.33%454.5萬
-101.58%-750.9萬
-176.05%-4,696萬
-108.39%-2,981.3萬
13.58%-2,813.9萬
8.55%9,740.3萬
其他金融機構的計息存款收益
186.70%176萬
---69萬
300.00%98萬
--49萬
143.08%98萬
-317.11%-203萬
--0
-64.49%24.5萬
--0
-828.57%-227.5萬
投資產品交易淨現金流
-64.19%3,718.2萬
45.27%2,430.6萬
-65.31%1,234.2萬
-200.80%-3,116.3萬
53.75%3,169.7萬
-76.86%1.04億
-83.77%1,673.2萬
-87.84%3,557.5萬
8.59%3,091.7萬
-16.35%2,061.6萬
貸款淨收益
-248.94%-3.46億
-186.36%-1.88億
-8.33%-6,036.8萬
-13.30%-6,585.6萬
-138.67%-3,114.9萬
-375.72%-9,907.4萬
-56.95%-6,576.9萬
-948.16%-5,572.4萬
-13.89%-5,812.3萬
22.89%8,054.2萬
固定資產交易的淨現金流
187.75%433.3萬
202.74%127.6萬
377.20%305.2萬
-40.36%-156.5萬
206.08%157萬
-35.70%-493.8萬
-100.97%-124.2萬
1.08%-110.1萬
-15.31%-111.5萬
-57.28%-148萬
業務交易的淨現金流
73.00%-241.5萬
---11.5萬
----
----
----
-120.04%-894.4萬
--0
-116.36%-894.4萬
----
----
其他投資活動的淨現金流
-38.82%222.5萬
-93.34%22.1萬
-2.94%13.2萬
120.21%42.5萬
13,254.55%144.7萬
-19.34%363.7萬
369.45%331.9萬
-93.39%13.6萬
-80.87%19.3萬
-101.50%-1.1萬
非持續投資現金淨額
投資活動現金流淨額
-3,930.16%-3.03億
-247.83%-1.63億
-54.84%-4,616.2萬
-247.09%-9,766.9萬
-95.33%454.5萬
-101.58%-750.9萬
-176.05%-4,696萬
-108.39%-2,981.3萬
13.58%-2,813.9萬
8.55%9,740.3萬
融資活動現金流量
持續融資活動現金淨額
320.13%3.05億
388.63%9,896.9萬
234.29%1億
167.61%7,846.9萬
-67.72%2,782.5萬
75.05%-1.39億
89.63%-3,428.9萬
50.88%-7,460.7萬
-685.33%-1.16億
192.34%8,618.6萬
為回購而出售的聯邦基金和證券
22.85%-740.6萬
-1,614.93%-379萬
507.26%656.5萬
-442.21%-2,583.1萬
621.32%1,565萬
-24.78%-959.9萬
82.42%-22.1萬
-127.75%-161.2萬
75.56%-476.4萬
-141.41%-300.2萬
存款的增減
608.06%3.38億
433.13%1.06億
468.69%9,934.4萬
147.04%5,981.9萬
-38.56%7,328.4萬
79.73%-6,656.3萬
85.75%-3,173.8萬
60.51%-2,694.5萬
-167.35%-1.27億
152.73%1.19億
債務發行/償還的淨現金流
94.30%-231.7萬
-8.62%349.9萬
--0
136.57%5,000萬
-123.26%-5,581.6萬
79.80%-4,062.6萬
103.79%382.9萬
52.25%-4,059萬
114.58%2,113.5萬
-119.23%-2,500萬
普通股發行/償還的淨現金流
0.25%39.6萬
-12.39%-49.9萬
-0.79%25.1萬
2.94%21萬
13.61%43.4萬
-26.72%39.5萬
-82.72%-44.4萬
6.30%25.3萬
-4.23%20.4萬
15.41%38.2萬
現金股利支付
-4.58%-2,339.5萬
-4.48%-597.1萬
-4.46%-596.8萬
-4.70%-572.9萬
-4.68%-572.7萬
-14.39%-2,237.1萬
-4.65%-571.5萬
-21.53%-571.3萬
-16.45%-547.2萬
-16.50%-547.1萬
非持續融資活動現金淨額
融資活動現金流淨額
320.13%3.05億
388.63%9,896.9萬
234.29%1億
167.61%7,846.9萬
-67.72%2,782.5萬
75.05%-1.39億
89.63%-3,428.9萬
50.88%-7,460.7萬
-685.33%-1.16億
192.34%8,618.6萬
現金淨流量
期初現金流
-15.27%1.21億
68.76%2.77億
-19.31%1.9億
-43.36%2.01億
-15.27%1.21億
-6.15%1.43億
-57.16%1.64億
35.14%2.35億
110.31%3.56億
-6.15%1.43億
當期現金流變化
711.97%1.34億
48.42%-2,216.7萬
222.14%8,707萬
90.47%-1,145.3萬
-62.26%8,025.4萬
-133.19%-2,184.8萬
82.11%-4,297.5萬
-134.11%-7,128.9萬
-2,448.53%-1.2億
1,173.20%2.13億
期末現金流
110.30%2.55億
110.30%2.55億
68.76%2.77億
-19.31%1.9億
-43.36%2.01億
-15.27%1.21億
-15.27%1.21億
-57.16%1.64億
35.14%2.35億
110.31%3.56億
自由現金流
3.81%1.24億
8.48%4,017.1萬
-0.26%3,193.9萬
-73.91%596.4萬
66.69%4,595.4萬
73.72%1.19億
31.18%3,703.2萬
645.07%3,202.3萬
35.36%2,285.7萬
42.37%2,756.8萬
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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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 5.18%1.31億10.27%4,220.3萬-0.27%3,304萬-67.68%774.7萬64.84%4,788.4萬71.82%1.24億32.67%3,827.4萬512.29%3,313.1萬34.27%2,397.2萬43.06%2,904.8萬
持續經營淨收入 16.29%9,174.9萬23.53%2,367.8萬15.30%2,246.2萬18.70%2,343.8萬8.14%2,217.1萬14.45%7,889.8萬6.07%1,916.8萬28.87%1,948.2萬19.18%1,974.5萬6.90%2,050.3萬
持續經營損益 -17.65%-283.9萬-510.74%-110.9萬66.79%-51.8萬-8.99%-97萬-3.86%-24.2萬45.80%-241.3萬208.00%27萬58.24%-156萬-191.80%-89萬-44.72%-23.3萬
折舊和攤銷 -4.85%1,977.1萬-4.56%491.3萬-5.45%499.4萬-2.83%486.8萬-6.41%499.6萬39.41%2,077.8萬4.36%514.8萬70.22%528.2萬48.09%501萬53.17%533.8萬
遞延稅費 -496.27%-233.8萬-----------------96.48%59萬----------------
其他非現金項目 188.88%238.9萬142.37%77.8萬40.67%223.1萬14.59%-348.9萬662.55%286.9萬-2.40%-268.8萬-90.89%32.1萬156.97%158.6萬-85.68%-408.5萬56.19%-51萬
營運資金變動 -54.96%957.8萬56.02%1,328.5萬-101.83%-11.9萬-864.35%-1,933.8萬325.56%1,575萬173.72%2,126.5萬156.16%851.5萬151.46%651.9萬619.51%253萬804.95%370.1萬
-應收款項(增)減 63.17%-131萬769.05%168.6萬-242.51%-363.4萬-260.70%-54.8萬145.88%118.6萬-31.94%-355.7萬-118.08%-25.2萬69.40%-106.1萬235.86%34.1萬-594.89%-258.5萬
-應付款項及遞延費用(減)增 942.86%226.3萬50.94%-57.7萬-9.47%120.5萬117.57%14.9萬63.30%148.6萬-79.23%21.7萬6.74%-117.6萬1.22%133.1萬-119.12%-84.8萬-33.96%91萬
-其他流動資產變化 -68.48%1,056.6萬-26.60%890.1萬-116.87%-56.7萬-351.81%-1,888.6萬100.42%2,111.8萬263.04%3,352.4萬166.59%1,212.6萬141.30%336.1萬91.33%750萬464.38%1,053.7萬
-其他流動負債變化 184.32%353.4萬577.39%460.2萬1.18%413.2萬135.25%115.3萬-57.25%-635.3萬-150.36%-419.1萬-123.99%-96.4萬401.40%408.4萬-26.78%-327.1萬-129.94%-404萬
-其他營運資本變化 -15.80%-547.5萬-8.86%-132.7萬-4.93%-125.5萬-1.17%-120.6萬-50.49%-168.7萬4.62%-472.8萬-10.52%-121.9萬-16.80%-119.6萬-0.25%-119.2萬31.69%-112.1萬
非持續經營活動現金流
經營活動現金淨額 5.18%1.31億10.27%4,220.3萬-0.27%3,304萬-67.68%774.7萬64.84%4,788.4萬71.82%1.24億32.67%3,827.4萬512.29%3,313.1萬34.27%2,397.2萬43.06%2,904.8萬
投資活動現金流量
持續投資活動現金淨額 -3,930.16%-3.03億-247.83%-1.63億-54.84%-4,616.2萬-247.09%-9,766.9萬-95.33%454.5萬-101.58%-750.9萬-176.05%-4,696萬-108.39%-2,981.3萬13.58%-2,813.9萬8.55%9,740.3萬
其他金融機構的計息存款收益 186.70%176萬---69萬300.00%98萬--49萬143.08%98萬-317.11%-203萬--0-64.49%24.5萬--0-828.57%-227.5萬
投資產品交易淨現金流 -64.19%3,718.2萬45.27%2,430.6萬-65.31%1,234.2萬-200.80%-3,116.3萬53.75%3,169.7萬-76.86%1.04億-83.77%1,673.2萬-87.84%3,557.5萬8.59%3,091.7萬-16.35%2,061.6萬
貸款淨收益 -248.94%-3.46億-186.36%-1.88億-8.33%-6,036.8萬-13.30%-6,585.6萬-138.67%-3,114.9萬-375.72%-9,907.4萬-56.95%-6,576.9萬-948.16%-5,572.4萬-13.89%-5,812.3萬22.89%8,054.2萬
固定資產交易的淨現金流 187.75%433.3萬202.74%127.6萬377.20%305.2萬-40.36%-156.5萬206.08%157萬-35.70%-493.8萬-100.97%-124.2萬1.08%-110.1萬-15.31%-111.5萬-57.28%-148萬
業務交易的淨現金流 73.00%-241.5萬---11.5萬-------------120.04%-894.4萬--0-116.36%-894.4萬--------
其他投資活動的淨現金流 -38.82%222.5萬-93.34%22.1萬-2.94%13.2萬120.21%42.5萬13,254.55%144.7萬-19.34%363.7萬369.45%331.9萬-93.39%13.6萬-80.87%19.3萬-101.50%-1.1萬
非持續投資現金淨額
投資活動現金流淨額 -3,930.16%-3.03億-247.83%-1.63億-54.84%-4,616.2萬-247.09%-9,766.9萬-95.33%454.5萬-101.58%-750.9萬-176.05%-4,696萬-108.39%-2,981.3萬13.58%-2,813.9萬8.55%9,740.3萬
融資活動現金流量
持續融資活動現金淨額 320.13%3.05億388.63%9,896.9萬234.29%1億167.61%7,846.9萬-67.72%2,782.5萬75.05%-1.39億89.63%-3,428.9萬50.88%-7,460.7萬-685.33%-1.16億192.34%8,618.6萬
為回購而出售的聯邦基金和證券 22.85%-740.6萬-1,614.93%-379萬507.26%656.5萬-442.21%-2,583.1萬621.32%1,565萬-24.78%-959.9萬82.42%-22.1萬-127.75%-161.2萬75.56%-476.4萬-141.41%-300.2萬
存款的增減 608.06%3.38億433.13%1.06億468.69%9,934.4萬147.04%5,981.9萬-38.56%7,328.4萬79.73%-6,656.3萬85.75%-3,173.8萬60.51%-2,694.5萬-167.35%-1.27億152.73%1.19億
債務發行/償還的淨現金流 94.30%-231.7萬-8.62%349.9萬--0136.57%5,000萬-123.26%-5,581.6萬79.80%-4,062.6萬103.79%382.9萬52.25%-4,059萬114.58%2,113.5萬-119.23%-2,500萬
普通股發行/償還的淨現金流 0.25%39.6萬-12.39%-49.9萬-0.79%25.1萬2.94%21萬13.61%43.4萬-26.72%39.5萬-82.72%-44.4萬6.30%25.3萬-4.23%20.4萬15.41%38.2萬
現金股利支付 -4.58%-2,339.5萬-4.48%-597.1萬-4.46%-596.8萬-4.70%-572.9萬-4.68%-572.7萬-14.39%-2,237.1萬-4.65%-571.5萬-21.53%-571.3萬-16.45%-547.2萬-16.50%-547.1萬
非持續融資活動現金淨額
融資活動現金流淨額 320.13%3.05億388.63%9,896.9萬234.29%1億167.61%7,846.9萬-67.72%2,782.5萬75.05%-1.39億89.63%-3,428.9萬50.88%-7,460.7萬-685.33%-1.16億192.34%8,618.6萬
現金淨流量
期初現金流 -15.27%1.21億68.76%2.77億-19.31%1.9億-43.36%2.01億-15.27%1.21億-6.15%1.43億-57.16%1.64億35.14%2.35億110.31%3.56億-6.15%1.43億
當期現金流變化 711.97%1.34億48.42%-2,216.7萬222.14%8,707萬90.47%-1,145.3萬-62.26%8,025.4萬-133.19%-2,184.8萬82.11%-4,297.5萬-134.11%-7,128.9萬-2,448.53%-1.2億1,173.20%2.13億
期末現金流 110.30%2.55億110.30%2.55億68.76%2.77億-19.31%1.9億-43.36%2.01億-15.27%1.21億-15.27%1.21億-57.16%1.64億35.14%2.35億110.31%3.56億
自由現金流 3.81%1.24億8.48%4,017.1萬-0.26%3,193.9萬-73.91%596.4萬66.69%4,595.4萬73.72%1.19億31.18%3,703.2萬645.07%3,202.3萬35.36%2,285.7萬42.37%2,756.8萬
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