美股市場個股詳情

南方萬通金控 (GSBC)

添加自選
  • 67.500
  • -0.200-0.30%
收盤價 04/14 16:00 (美東)
  • 67.500
  • 0.0000.00%
盤後 16:01 (美東)
7.40億總市值10.90市盈率TTM

南方萬通金控 (GSBC) 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
85.01%8,152.1萬
120.98%2,162.5萬
-68.45%558.8萬
-9.64%3,930.8萬
155.69%1,500萬
-45.40%4,406.4萬
-29.16%978.6萬
125.89%1,771.2萬
-0.84%4,350.3萬
-277.54%-2,693.7萬
持續經營淨收入
14.83%7,097.3萬
9.07%1,627.5萬
7.65%1,775.2萬
16.47%1,978.6萬
27.99%1,716萬
-8.84%6,180.7萬
13.52%1,492.2萬
3.85%1,649萬
-7.27%1,698.8萬
-34.46%1,340.7萬
持續經營損益
20.22%-300.3萬
35.01%-62.2萬
8.32%-91.5萬
23.02%-89.6萬
11.63%-57萬
-89.05%-376.4萬
-165.10%-95.7萬
-18.95%-99.8萬
-52.36%-116.4萬
-2,288.89%-64.5萬
折舊和攤銷
-4.91%851.1萬
0.27%220萬
46.95%209.4萬
-26.20%206.2萬
-15.06%215.5萬
-3.89%895萬
-2.79%219.4萬
-37.55%142.5萬
21.06%279.4萬
2.92%253.7萬
遞延稅費
-387.75%-131.5萬
-169.63%-69.7萬
-228.20%-34.1萬
-486.67%-11.6萬
80.83%-16.1萬
-84.69%45.7萬
-53.22%100.1萬
-55.74%26.6萬
-91.15%3萬
-784.21%-84萬
其他非現金項目
1,591.41%381.8萬
-109.68%-37.9萬
-74.90%93.9萬
155.47%213.3萬
127.65%112.5萬
-120.37%-25.6萬
1,210.03%391.7萬
-33.97%374.1萬
-7.67%-384.5萬
-257.87%-406.9萬
營運資金變動
201.52%1,348.1萬
155.13%520.5萬
-1,025.60%-1,037.8萬
-36.48%2,045.3萬
94.88%-179.9萬
-180.14%-1,327.9萬
-5,720.24%-944.2萬
91.85%-92.2萬
0.79%3,219.7萬
-730.46%-3,511.2萬
-應收款項(增)減
204.38%236.2萬
1.69%186.3萬
351.27%71.3萬
210.12%86萬
-148.04%-107.4萬
136.97%77.6萬
199.57%183.2萬
107.22%15.8萬
-355.23%-78.1萬
-126.68%-43.3萬
-預付費用(增)減
3,233.71%557.8萬
212.25%466.4萬
-216.67%-22.8萬
-106.45%-145.2萬
114.05%259.4萬
96.08%-17.8萬
-231.45%-415.5萬
99.35%-7.2萬
57.20%2,251.7萬
-68.58%-1,846.8萬
-應付款項及遞延費用(減)增
134.74%446.3萬
79.04%-131.3萬
-3,544.35%-1,224.5萬
101.77%2,291.7萬
72.19%-489.6萬
-154.74%-1,284.7萬
-2,947.27%-626.4萬
-125.19%-33.6萬
-44.85%1,135.8萬
-1,432.70%-1,760.5萬
-其他營運資本變化
204.66%107.8萬
98.95%-9,000
305.65%138.2萬
-108.70%-187.2萬
13.13%157.7萬
-297.68%-103萬
37.73%-85.5萬
-210.16%-67.2萬
72.64%-89.7萬
-63.15%139.4萬
非持續經營活動現金流
經營活動現金淨額
85.01%8,152.1萬
120.98%2,162.5萬
-68.45%558.8萬
-9.64%3,930.8萬
155.69%1,500萬
-45.40%4,406.4萬
-29.16%978.6萬
125.89%1,771.2萬
-0.84%4,350.3萬
-277.54%-2,693.7萬
投資活動現金流量
持續投資活動現金淨額
309.35%3.67億
691.90%1.28億
245.07%6,864.5萬
202.42%1.62億
-30.68%939.2萬
-98.84%-1.75億
172.20%1,611.2萬
18.91%-4,731.8萬
-383.72%-1.58億
121.46%1,354.8萬
投資產品交易淨現金流
182.94%4,465.9萬
6.55%2,518.3萬
-174.30%-429萬
116.85%1,401.9萬
33.59%974.7萬
-287.74%-5,384.3萬
-17.83%2,363.4萬
91.39%-156.4萬
-967.75%-8,320.9萬
-14.14%729.6萬
貸款淨收益
422.87%3.37億
334.83%1.12億
186.43%6,740.7萬
383.63%1.58億
-110.77%-39.9萬
-31.26%-1.04億
204.59%2,569.7萬
-67.38%-7,798.8萬
-202.98%-5,576.4萬
105.93%370.6萬
固定資產交易的淨現金流
-138.15%-1,133.6萬
-145.53%-334.9萬
-53.45%-169.1萬
-193.08%-436.4萬
-140.00%-193.2萬
32.44%-476萬
-23.10%-136.4萬
37.95%-110.2萬
3.25%-148.9萬
69.31%-80.5萬
其他投資活動的淨現金流
75.48%-305.1萬
81.22%-598.2萬
-78.34%721.9萬
63.74%-626.4萬
-41.03%197.6萬
59.00%-1,244.2萬
-25.40%-3,185.5萬
306.98%3,333.6萬
-161.65%-1,727.4萬
151.29%335.1萬
非持續投資現金淨額
投資活動現金流淨額
309.35%3.67億
691.90%1.28億
245.07%6,864.5萬
202.42%1.62億
-30.68%939.2萬
-98.84%-1.75億
172.20%1,611.2萬
18.91%-4,731.8萬
-383.72%-1.58億
121.46%1,354.8萬
融資活動現金流量
持續融資活動現金淨額
-492.99%-4.55億
-304.85%-1.56億
-340.59%-1.24億
-233.17%-1.72億
88.80%-296.7萬
130.03%1.16億
-202.63%-3,850.7萬
78.30%5,150.2萬
261.16%1.29億
-141.32%-2,649.7萬
存款的增減
-5.78%-1.23億
50.74%-4,525.9萬
-289.84%-1.56億
53.25%-7,392萬
194.87%1.52億
-416.53%-1.16億
29.66%-9,187.4萬
201.50%8,221.2萬
-687.28%-1.58億
-54.27%5,171.6萬
債務發行/償還的淨現金流
-207.47%-2.74億
-247.13%-8,918.6萬
235.29%4,387.2萬
-128.86%-8,552萬
-106.93%-1.43億
347.57%2.55億
-66.54%6,061.6萬
-397.09%-3,242.7萬
411.99%2.96億
-73.05%-6,932.8萬
普通股發行/償還的淨現金流
-193.43%-4,446.1萬
-437.16%-1,441.2萬
-9,198.15%-1,004.2萬
-50.06%-979.3萬
-75.05%-1,021.4萬
35.04%-1,515.2萬
25.22%-268.3萬
98.02%-10.8萬
25.11%-652.6萬
-4.66%-583.5萬
現金股利支付
-0.09%-1,872.4萬
-3.75%-484.7萬
1.62%-455.9萬
1.15%-462.6萬
0.64%-469.2萬
2.98%-1,870.8萬
1.58%-467.2萬
3.24%-463.4萬
3.56%-468萬
3.49%-472.2萬
職工行使股票期權收到的現金
-52.26%482萬
-56.72%193萬
-64.43%180.5萬
18.42%36萬
179.92%72.5萬
1,042.08%1,009.6萬
676.83%445.9萬
9,125.45%507.4萬
67.03%30.4萬
254.79%25.9萬
其他融資活動的淨現金流額
56.13%50.9萬
5.28%-412.3萬
-21.88%108.2萬
-27.11%137.1萬
54.21%217.9萬
119.83%32.6萬
17.57%-435.3萬
56.50%138.5萬
49.76%188.1萬
-5.55%141.3萬
非持續融資活動現金淨額
融資活動現金流淨額
-492.99%-4.55億
-304.85%-1.56億
-340.59%-1.24億
-233.17%-1.72億
88.80%-296.7萬
130.03%1.16億
-202.63%-3,850.7萬
78.30%5,150.2萬
261.16%1.29億
-141.32%-2,649.7萬
現金淨流量
期初現金流
-7.37%1.96億
-5.82%1.96億
31.88%2.46億
26.68%2.17億
-7.37%1.96億
25.41%2.11億
14.29%2.08億
-8.57%1.86億
-7.16%1.71億
25.41%2.11億
當期現金流變化
60.18%-620.2萬
47.01%-668.1萬
-326.88%-4,967.8萬
91.27%2,873.2萬
153.72%2,142.5萬
-136.38%-1,557.7萬
-143.45%-1,260.9萬
201.26%2,189.6萬
-22.02%1,502.2萬
-346.88%-3,988.6萬
期末現金流
-3.17%1.9億
-3.17%1.9億
-5.82%1.96億
31.88%2.46億
26.68%2.17億
-7.37%1.96億
-7.37%1.96億
14.29%2.08億
-8.57%1.86億
-7.16%1.71億
自由現金流
78.99%7,005.6萬
118.17%1,822.6萬
-76.72%385.1萬
-16.86%3,491.1萬
147.10%1,306.8萬
-46.68%3,914萬
-34.15%835.4萬
180.96%1,654萬
-0.74%4,199.2萬
-321.60%-2,774.6萬
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 85.01%8,152.1萬120.98%2,162.5萬-68.45%558.8萬-9.64%3,930.8萬155.69%1,500萬-45.40%4,406.4萬-29.16%978.6萬125.89%1,771.2萬-0.84%4,350.3萬-277.54%-2,693.7萬
持續經營淨收入 14.83%7,097.3萬9.07%1,627.5萬7.65%1,775.2萬16.47%1,978.6萬27.99%1,716萬-8.84%6,180.7萬13.52%1,492.2萬3.85%1,649萬-7.27%1,698.8萬-34.46%1,340.7萬
持續經營損益 20.22%-300.3萬35.01%-62.2萬8.32%-91.5萬23.02%-89.6萬11.63%-57萬-89.05%-376.4萬-165.10%-95.7萬-18.95%-99.8萬-52.36%-116.4萬-2,288.89%-64.5萬
折舊和攤銷 -4.91%851.1萬0.27%220萬46.95%209.4萬-26.20%206.2萬-15.06%215.5萬-3.89%895萬-2.79%219.4萬-37.55%142.5萬21.06%279.4萬2.92%253.7萬
遞延稅費 -387.75%-131.5萬-169.63%-69.7萬-228.20%-34.1萬-486.67%-11.6萬80.83%-16.1萬-84.69%45.7萬-53.22%100.1萬-55.74%26.6萬-91.15%3萬-784.21%-84萬
其他非現金項目 1,591.41%381.8萬-109.68%-37.9萬-74.90%93.9萬155.47%213.3萬127.65%112.5萬-120.37%-25.6萬1,210.03%391.7萬-33.97%374.1萬-7.67%-384.5萬-257.87%-406.9萬
營運資金變動 201.52%1,348.1萬155.13%520.5萬-1,025.60%-1,037.8萬-36.48%2,045.3萬94.88%-179.9萬-180.14%-1,327.9萬-5,720.24%-944.2萬91.85%-92.2萬0.79%3,219.7萬-730.46%-3,511.2萬
-應收款項(增)減 204.38%236.2萬1.69%186.3萬351.27%71.3萬210.12%86萬-148.04%-107.4萬136.97%77.6萬199.57%183.2萬107.22%15.8萬-355.23%-78.1萬-126.68%-43.3萬
-預付費用(增)減 3,233.71%557.8萬212.25%466.4萬-216.67%-22.8萬-106.45%-145.2萬114.05%259.4萬96.08%-17.8萬-231.45%-415.5萬99.35%-7.2萬57.20%2,251.7萬-68.58%-1,846.8萬
-應付款項及遞延費用(減)增 134.74%446.3萬79.04%-131.3萬-3,544.35%-1,224.5萬101.77%2,291.7萬72.19%-489.6萬-154.74%-1,284.7萬-2,947.27%-626.4萬-125.19%-33.6萬-44.85%1,135.8萬-1,432.70%-1,760.5萬
-其他營運資本變化 204.66%107.8萬98.95%-9,000305.65%138.2萬-108.70%-187.2萬13.13%157.7萬-297.68%-103萬37.73%-85.5萬-210.16%-67.2萬72.64%-89.7萬-63.15%139.4萬
非持續經營活動現金流
經營活動現金淨額 85.01%8,152.1萬120.98%2,162.5萬-68.45%558.8萬-9.64%3,930.8萬155.69%1,500萬-45.40%4,406.4萬-29.16%978.6萬125.89%1,771.2萬-0.84%4,350.3萬-277.54%-2,693.7萬
投資活動現金流量
持續投資活動現金淨額 309.35%3.67億691.90%1.28億245.07%6,864.5萬202.42%1.62億-30.68%939.2萬-98.84%-1.75億172.20%1,611.2萬18.91%-4,731.8萬-383.72%-1.58億121.46%1,354.8萬
投資產品交易淨現金流 182.94%4,465.9萬6.55%2,518.3萬-174.30%-429萬116.85%1,401.9萬33.59%974.7萬-287.74%-5,384.3萬-17.83%2,363.4萬91.39%-156.4萬-967.75%-8,320.9萬-14.14%729.6萬
貸款淨收益 422.87%3.37億334.83%1.12億186.43%6,740.7萬383.63%1.58億-110.77%-39.9萬-31.26%-1.04億204.59%2,569.7萬-67.38%-7,798.8萬-202.98%-5,576.4萬105.93%370.6萬
固定資產交易的淨現金流 -138.15%-1,133.6萬-145.53%-334.9萬-53.45%-169.1萬-193.08%-436.4萬-140.00%-193.2萬32.44%-476萬-23.10%-136.4萬37.95%-110.2萬3.25%-148.9萬69.31%-80.5萬
其他投資活動的淨現金流 75.48%-305.1萬81.22%-598.2萬-78.34%721.9萬63.74%-626.4萬-41.03%197.6萬59.00%-1,244.2萬-25.40%-3,185.5萬306.98%3,333.6萬-161.65%-1,727.4萬151.29%335.1萬
非持續投資現金淨額
投資活動現金流淨額 309.35%3.67億691.90%1.28億245.07%6,864.5萬202.42%1.62億-30.68%939.2萬-98.84%-1.75億172.20%1,611.2萬18.91%-4,731.8萬-383.72%-1.58億121.46%1,354.8萬
融資活動現金流量
持續融資活動現金淨額 -492.99%-4.55億-304.85%-1.56億-340.59%-1.24億-233.17%-1.72億88.80%-296.7萬130.03%1.16億-202.63%-3,850.7萬78.30%5,150.2萬261.16%1.29億-141.32%-2,649.7萬
存款的增減 -5.78%-1.23億50.74%-4,525.9萬-289.84%-1.56億53.25%-7,392萬194.87%1.52億-416.53%-1.16億29.66%-9,187.4萬201.50%8,221.2萬-687.28%-1.58億-54.27%5,171.6萬
債務發行/償還的淨現金流 -207.47%-2.74億-247.13%-8,918.6萬235.29%4,387.2萬-128.86%-8,552萬-106.93%-1.43億347.57%2.55億-66.54%6,061.6萬-397.09%-3,242.7萬411.99%2.96億-73.05%-6,932.8萬
普通股發行/償還的淨現金流 -193.43%-4,446.1萬-437.16%-1,441.2萬-9,198.15%-1,004.2萬-50.06%-979.3萬-75.05%-1,021.4萬35.04%-1,515.2萬25.22%-268.3萬98.02%-10.8萬25.11%-652.6萬-4.66%-583.5萬
現金股利支付 -0.09%-1,872.4萬-3.75%-484.7萬1.62%-455.9萬1.15%-462.6萬0.64%-469.2萬2.98%-1,870.8萬1.58%-467.2萬3.24%-463.4萬3.56%-468萬3.49%-472.2萬
職工行使股票期權收到的現金 -52.26%482萬-56.72%193萬-64.43%180.5萬18.42%36萬179.92%72.5萬1,042.08%1,009.6萬676.83%445.9萬9,125.45%507.4萬67.03%30.4萬254.79%25.9萬
其他融資活動的淨現金流額 56.13%50.9萬5.28%-412.3萬-21.88%108.2萬-27.11%137.1萬54.21%217.9萬119.83%32.6萬17.57%-435.3萬56.50%138.5萬49.76%188.1萬-5.55%141.3萬
非持續融資活動現金淨額
融資活動現金流淨額 -492.99%-4.55億-304.85%-1.56億-340.59%-1.24億-233.17%-1.72億88.80%-296.7萬130.03%1.16億-202.63%-3,850.7萬78.30%5,150.2萬261.16%1.29億-141.32%-2,649.7萬
現金淨流量
期初現金流 -7.37%1.96億-5.82%1.96億31.88%2.46億26.68%2.17億-7.37%1.96億25.41%2.11億14.29%2.08億-8.57%1.86億-7.16%1.71億25.41%2.11億
當期現金流變化 60.18%-620.2萬47.01%-668.1萬-326.88%-4,967.8萬91.27%2,873.2萬153.72%2,142.5萬-136.38%-1,557.7萬-143.45%-1,260.9萬201.26%2,189.6萬-22.02%1,502.2萬-346.88%-3,988.6萬
期末現金流 -3.17%1.9億-3.17%1.9億-5.82%1.96億31.88%2.46億26.68%2.17億-7.37%1.96億-7.37%1.96億14.29%2.08億-8.57%1.86億-7.16%1.71億
自由現金流 78.99%7,005.6萬118.17%1,822.6萬-76.72%385.1萬-16.86%3,491.1萬147.10%1,306.8萬-46.68%3,914萬-34.15%835.4萬180.96%1,654萬-0.74%4,199.2萬-321.60%-2,774.6萬
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