美股市場個股詳情

第一招商股份 (FRME)

添加自選
  • 39.100
  • -0.670-1.68%
收盤價 05/15 16:00 (美東)
  • 38.900
  • -0.200-0.51%
盤後 16:53 (美東)
24.64億總市值11.53市盈率TTM

第一招商股份 (FRME) 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
-5.04%5,859.1萬
6.55%2.84億
19.57%8,071.2萬
13.96%8,755.9萬
-14.84%5,367.5萬
4.85%6,170萬
2.85%2.66億
2.88%6,750.4萬
-4.25%7,683.1萬
148.49%6,302.7萬
持續經營淨收入
-49.12%2,815.6萬
12.21%2.26億
-11.32%5,706.5萬
15.41%5,676.5萬
42.35%5,683.2萬
15.43%5,533.9萬
-10.00%2.01億
51.48%6,434.9萬
-12.74%4,918.7萬
-34.40%3,992.5萬
持續經營損益
766.50%2,498.7萬
-42.19%-1,607.5萬
58.93%-409.1萬
-209.43%-366.6萬
-54.51%-456.9萬
-115.96%-374.9萬
-629.83%-1,130.5萬
-3,254.21%-996.2萬
377.78%335萬
-284.53%-295.7萬
折舊和攤銷
14.73%899.5萬
9.59%2,942.3萬
-64.89%570.5萬
104.16%800.7萬
125.79%787.1萬
145.46%784萬
129.26%2,684.9萬
433.56%1,624.7萬
36.80%392.2萬
22.96%348.6萬
遞延稅費
710.12%397.8萬
36.64%221.9萬
386.84%431.4萬
-95.32%8.3萬
-142.20%-152.6萬
71.15%-65.2萬
-75.39%162.4萬
-156.93%-150.4萬
-67.10%177.2萬
83.93%361.6萬
其他非現金項目
146.85%328.5萬
121.98%1,942.8萬
487.60%1,428.3萬
97.06%1,561.1萬
-1,649.33%-345.5萬
-263.35%-701.1萬
-37.83%875.2萬
-118.88%-368.5萬
-34.15%792.2萬
100.61%22.3萬
營運資金變動
-520.32%-1,739.3萬
-125.59%-593.3萬
-62.71%-613.1萬
10.94%470.5萬
-21.45%-864.5萬
3.06%413.8萬
40.89%-263萬
18.76%-376.8萬
194.31%424.1萬
-79.34%-711.8萬
-應收款項(增)減
-218.05%-1,000.6萬
-126.48%-154.5萬
-1,808.80%-427.2萬
-23.98%415.6萬
-98.26%-990.5萬
65.74%847.6萬
146.33%583.5萬
103.27%25萬
2,508.37%546.7萬
-17.03%-499.6萬
-應付款項及遞延費用(減)增
-88.53%-527.5萬
175.91%213.3萬
99.80%-5,000
5,197.44%206.6萬
505.37%287萬
-899.43%-279.8萬
-124.69%-281萬
-202.13%-249.1萬
-98.64%3.9萬
-143.81%-70.8萬
-其他營運資本變化
-37.14%-211.2萬
-15.31%-652.1萬
-21.41%-185.4萬
-19.92%-151.7萬
-13.86%-161萬
-6.28%-154萬
-74.70%-565.5萬
-365.10%-152.7萬
-4.55%-126.5萬
-7.45%-141.4萬
非持續經營活動現金流
經營活動現金淨額
-5.04%5,859.1萬
6.55%2.84億
19.57%8,071.2萬
13.96%8,755.9萬
-14.84%5,367.5萬
4.85%6,170萬
2.85%2.66億
2.88%6,750.4萬
-4.25%7,683.1萬
148.49%6,302.7萬
投資活動現金流量
持續投資活動現金淨額
329.45%3.68億
-206.56%-7.74億
-19.57%-3.01億
-110.23%-1.43億
-986.35%-1.69億
-293.55%-1.6億
26.71%-2.52億
-6.08%-2.52億
36.12%-6,817.9萬
-106.88%-1,558.6萬
其他金融機構的計息存款收益
329.82%7,501.9萬
-25.22%1.03億
-145.81%-2,759.4萬
128.67%5,463.7萬
-55.29%1.08億
-227.60%-3,264.3萬
144.25%1.37億
168.89%6,023.5萬
-47.57%-1.91億
81.64%2.42億
投資產品交易淨現金流
1,539.63%2.81億
-64.20%9,711.5萬
-85.85%1,851.9萬
-80.98%2,832.7萬
1,423.64%3,312.4萬
258.97%1,714.5萬
-45.65%2.71億
133.28%1.31億
158.75%1.49億
-98.41%217.4萬
貸款淨收益
107.61%1,064.6萬
-134.35%-9.71億
-36.18%-2.9億
-548.66%-2.24億
-39.85%-3.17億
-334.13%-1.4億
19.03%-4.14億
2.83%-2.13億
-1,021.43%-3,456.3萬
-293.68%-2.27億
業務交易的淨現金流
----
--0
----
----
----
----
---2.44億
----
----
----
其他投資活動的淨現金流
126.17%129.4萬
21.09%-232.7萬
-112.39%-170.4萬
-126.18%-209.9萬
119.45%642.1萬
-159.59%-494.5萬
86.39%-294.9萬
3.17%1,375.5萬
120.62%801.7萬
-336.44%-3,301.9萬
非持續投資現金淨額
投資活動現金流淨額
329.45%3.68億
-206.56%-7.74億
-19.57%-3.01億
-110.23%-1.43億
-986.35%-1.69億
-293.55%-1.6億
26.71%-2.52億
-6.08%-2.52億
36.12%-6,817.9萬
-106.88%-1,558.6萬
融資活動現金流量
持續融資活動現金淨額
-524.56%-4.13億
1,353.82%4.87億
15.62%2.16億
312.53%6,228.3萬
360.90%1.11億
163.18%9,721.5萬
-151.32%-3,881.9萬
17.57%1.87億
-168.67%-2,930.5萬
84.16%-4,258.3萬
存款的增減
-737.19%-4.99億
2,488.06%7.73億
211.81%4.25億
-13.54%7,240.1萬
206.37%3.36億
-194.48%-5,964.8萬
-107.38%-3,237.9萬
-22.08%1.36億
28.01%8,374.3萬
-158.34%-3.16億
債務發行/償還的淨現金流
-27.72%1.34億
-222.29%-1.58億
-330.77%-1.78億
118.06%1,677.7萬
-158.26%-1.82億
210.61%1.85億
145.38%1.29億
1,740.10%7,710萬
-3,351.77%-9,288.7萬
346.50%3.12億
普通股發行/償還的淨現金流
-231.61%-2,433.7萬
17.35%-4,455.4萬
-74.40%-981.5萬
-1,122.43%-587.9萬
-10.81%-2,152.1萬
75.06%-733.9萬
-2,572.80%-5,390.7萬
-1,075.39%-562.8萬
6.68%57.5萬
-3,631.27%-1,942.2萬
現金股利支付
-11.13%-2,328.9萬
-1.54%-8,478.7萬
-1.64%-2,128.9萬
-1.33%-2,127.2萬
-1.61%-2,127萬
-1.60%-2,095.6萬
-1.91%-8,349.8萬
-0.62%-2,094.6萬
-0.91%-2,099.2萬
-0.83%-2,093.4萬
職工行使股票期權收到的現金
112.37%63.5萬
-30.46%108.2萬
87.59%27.2萬
0.00%25.6萬
-73.68%25.5萬
60.75%29.9萬
-16.52%155.6萬
-11.59%14.5萬
21.90%25.6萬
244.84%96.9萬
非持續融資活動現金淨額
融資活動現金流淨額
-524.56%-4.13億
1,353.82%4.87億
15.62%2.16億
312.53%6,228.3萬
360.90%1.11億
163.18%9,721.5萬
-151.32%-3,881.9萬
17.57%1.87億
-168.67%-2,930.5萬
84.16%-4,258.3萬
現金淨流量
期初現金流
-3.95%8,415.8萬
-22.22%8,761.6萬
3.97%8,807.9萬
-22.59%8,156.7萬
-14.33%8,611.3萬
-22.22%8,761.6萬
-8.11%1.13億
-32.32%8,471.9萬
-3.31%1.05億
-20.11%1.01億
當期現金流變化
1,026.48%1,392.5萬
86.19%-345.8萬
-235.35%-392.1萬
131.53%651.2萬
-193.58%-454.6萬
87.61%-150.3萬
-151.71%-2,503.3萬
123.13%289.7萬
-227.50%-2,065.3萬
128.84%485.8萬
期末現金流
13.90%9,808.3萬
-3.95%8,415.8萬
-3.95%8,415.8萬
3.97%8,807.9萬
-22.59%8,156.7萬
-14.33%8,611.3萬
-22.22%8,761.6萬
-22.22%8,761.6萬
-32.32%8,471.9萬
-3.31%1.05億
自由現金流
-5.04%5,859.1萬
6.55%2.84億
19.57%8,071.2萬
13.96%8,755.9萬
-14.84%5,367.5萬
4.85%6,170萬
2.85%2.66億
2.88%6,750.4萬
-4.25%7,683.1萬
148.49%6,302.7萬
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
--
--
--
(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 -5.04%5,859.1萬6.55%2.84億19.57%8,071.2萬13.96%8,755.9萬-14.84%5,367.5萬4.85%6,170萬2.85%2.66億2.88%6,750.4萬-4.25%7,683.1萬148.49%6,302.7萬
持續經營淨收入 -49.12%2,815.6萬12.21%2.26億-11.32%5,706.5萬15.41%5,676.5萬42.35%5,683.2萬15.43%5,533.9萬-10.00%2.01億51.48%6,434.9萬-12.74%4,918.7萬-34.40%3,992.5萬
持續經營損益 766.50%2,498.7萬-42.19%-1,607.5萬58.93%-409.1萬-209.43%-366.6萬-54.51%-456.9萬-115.96%-374.9萬-629.83%-1,130.5萬-3,254.21%-996.2萬377.78%335萬-284.53%-295.7萬
折舊和攤銷 14.73%899.5萬9.59%2,942.3萬-64.89%570.5萬104.16%800.7萬125.79%787.1萬145.46%784萬129.26%2,684.9萬433.56%1,624.7萬36.80%392.2萬22.96%348.6萬
遞延稅費 710.12%397.8萬36.64%221.9萬386.84%431.4萬-95.32%8.3萬-142.20%-152.6萬71.15%-65.2萬-75.39%162.4萬-156.93%-150.4萬-67.10%177.2萬83.93%361.6萬
其他非現金項目 146.85%328.5萬121.98%1,942.8萬487.60%1,428.3萬97.06%1,561.1萬-1,649.33%-345.5萬-263.35%-701.1萬-37.83%875.2萬-118.88%-368.5萬-34.15%792.2萬100.61%22.3萬
營運資金變動 -520.32%-1,739.3萬-125.59%-593.3萬-62.71%-613.1萬10.94%470.5萬-21.45%-864.5萬3.06%413.8萬40.89%-263萬18.76%-376.8萬194.31%424.1萬-79.34%-711.8萬
-應收款項(增)減 -218.05%-1,000.6萬-126.48%-154.5萬-1,808.80%-427.2萬-23.98%415.6萬-98.26%-990.5萬65.74%847.6萬146.33%583.5萬103.27%25萬2,508.37%546.7萬-17.03%-499.6萬
-應付款項及遞延費用(減)增 -88.53%-527.5萬175.91%213.3萬99.80%-5,0005,197.44%206.6萬505.37%287萬-899.43%-279.8萬-124.69%-281萬-202.13%-249.1萬-98.64%3.9萬-143.81%-70.8萬
-其他營運資本變化 -37.14%-211.2萬-15.31%-652.1萬-21.41%-185.4萬-19.92%-151.7萬-13.86%-161萬-6.28%-154萬-74.70%-565.5萬-365.10%-152.7萬-4.55%-126.5萬-7.45%-141.4萬
非持續經營活動現金流
經營活動現金淨額 -5.04%5,859.1萬6.55%2.84億19.57%8,071.2萬13.96%8,755.9萬-14.84%5,367.5萬4.85%6,170萬2.85%2.66億2.88%6,750.4萬-4.25%7,683.1萬148.49%6,302.7萬
投資活動現金流量
持續投資活動現金淨額 329.45%3.68億-206.56%-7.74億-19.57%-3.01億-110.23%-1.43億-986.35%-1.69億-293.55%-1.6億26.71%-2.52億-6.08%-2.52億36.12%-6,817.9萬-106.88%-1,558.6萬
其他金融機構的計息存款收益 329.82%7,501.9萬-25.22%1.03億-145.81%-2,759.4萬128.67%5,463.7萬-55.29%1.08億-227.60%-3,264.3萬144.25%1.37億168.89%6,023.5萬-47.57%-1.91億81.64%2.42億
投資產品交易淨現金流 1,539.63%2.81億-64.20%9,711.5萬-85.85%1,851.9萬-80.98%2,832.7萬1,423.64%3,312.4萬258.97%1,714.5萬-45.65%2.71億133.28%1.31億158.75%1.49億-98.41%217.4萬
貸款淨收益 107.61%1,064.6萬-134.35%-9.71億-36.18%-2.9億-548.66%-2.24億-39.85%-3.17億-334.13%-1.4億19.03%-4.14億2.83%-2.13億-1,021.43%-3,456.3萬-293.68%-2.27億
業務交易的淨現金流 ------0-------------------2.44億------------
其他投資活動的淨現金流 126.17%129.4萬21.09%-232.7萬-112.39%-170.4萬-126.18%-209.9萬119.45%642.1萬-159.59%-494.5萬86.39%-294.9萬3.17%1,375.5萬120.62%801.7萬-336.44%-3,301.9萬
非持續投資現金淨額
投資活動現金流淨額 329.45%3.68億-206.56%-7.74億-19.57%-3.01億-110.23%-1.43億-986.35%-1.69億-293.55%-1.6億26.71%-2.52億-6.08%-2.52億36.12%-6,817.9萬-106.88%-1,558.6萬
融資活動現金流量
持續融資活動現金淨額 -524.56%-4.13億1,353.82%4.87億15.62%2.16億312.53%6,228.3萬360.90%1.11億163.18%9,721.5萬-151.32%-3,881.9萬17.57%1.87億-168.67%-2,930.5萬84.16%-4,258.3萬
存款的增減 -737.19%-4.99億2,488.06%7.73億211.81%4.25億-13.54%7,240.1萬206.37%3.36億-194.48%-5,964.8萬-107.38%-3,237.9萬-22.08%1.36億28.01%8,374.3萬-158.34%-3.16億
債務發行/償還的淨現金流 -27.72%1.34億-222.29%-1.58億-330.77%-1.78億118.06%1,677.7萬-158.26%-1.82億210.61%1.85億145.38%1.29億1,740.10%7,710萬-3,351.77%-9,288.7萬346.50%3.12億
普通股發行/償還的淨現金流 -231.61%-2,433.7萬17.35%-4,455.4萬-74.40%-981.5萬-1,122.43%-587.9萬-10.81%-2,152.1萬75.06%-733.9萬-2,572.80%-5,390.7萬-1,075.39%-562.8萬6.68%57.5萬-3,631.27%-1,942.2萬
現金股利支付 -11.13%-2,328.9萬-1.54%-8,478.7萬-1.64%-2,128.9萬-1.33%-2,127.2萬-1.61%-2,127萬-1.60%-2,095.6萬-1.91%-8,349.8萬-0.62%-2,094.6萬-0.91%-2,099.2萬-0.83%-2,093.4萬
職工行使股票期權收到的現金 112.37%63.5萬-30.46%108.2萬87.59%27.2萬0.00%25.6萬-73.68%25.5萬60.75%29.9萬-16.52%155.6萬-11.59%14.5萬21.90%25.6萬244.84%96.9萬
非持續融資活動現金淨額
融資活動現金流淨額 -524.56%-4.13億1,353.82%4.87億15.62%2.16億312.53%6,228.3萬360.90%1.11億163.18%9,721.5萬-151.32%-3,881.9萬17.57%1.87億-168.67%-2,930.5萬84.16%-4,258.3萬
現金淨流量
期初現金流 -3.95%8,415.8萬-22.22%8,761.6萬3.97%8,807.9萬-22.59%8,156.7萬-14.33%8,611.3萬-22.22%8,761.6萬-8.11%1.13億-32.32%8,471.9萬-3.31%1.05億-20.11%1.01億
當期現金流變化 1,026.48%1,392.5萬86.19%-345.8萬-235.35%-392.1萬131.53%651.2萬-193.58%-454.6萬87.61%-150.3萬-151.71%-2,503.3萬123.13%289.7萬-227.50%-2,065.3萬128.84%485.8萬
期末現金流 13.90%9,808.3萬-3.95%8,415.8萬-3.95%8,415.8萬3.97%8,807.9萬-22.59%8,156.7萬-14.33%8,611.3萬-22.22%8,761.6萬-22.22%8,761.6萬-32.32%8,471.9萬-3.31%1.05億
自由現金流 -5.04%5,859.1萬6.55%2.84億19.57%8,071.2萬13.96%8,755.9萬-14.84%5,367.5萬4.85%6,170萬2.85%2.66億2.88%6,750.4萬-4.25%7,683.1萬148.49%6,302.7萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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