美股市場個股詳情

TCBS Texas Community Bancshares

添加自選
  • 14.930
  • +0.130+0.88%
收盤價 11/22 16:00 (美東)
4651.67萬總市值-21028市盈率TTM

Texas Community Bancshares關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-40.92%86.9萬
-56.03%45.6萬
50.22%69.4萬
-26.88%228.8萬
-217.18%-68.2萬
55.33%147.1萬
11.87%103.7萬
-31.35%46.2萬
78.09%312.9萬
119.35%58.2萬
持續經營淨收入
12.94%51.5萬
117.50%34.8萬
-164.01%-268.5萬
-141.79%-73.3萬
-181.37%-33.2萬
-15.40%45.6萬
-61.54%16萬
-360.10%-101.7萬
238.61%175.4萬
42.66%40.8萬
持續經營損益
---8,000
628.57%10.2萬
139.00%403.2萬
33,900.00%169萬
75.00%-1.1萬
--0
--1.4萬
--168.7萬
---5,000
---4.4萬
折舊和攤銷
68.60%14.5萬
17.36%14.2萬
30.28%14.2萬
-2.09%42.2萬
-0.93%10.6萬
-20.37%8.6萬
13.08%12.1萬
0.00%10.9萬
-1.37%43.1萬
-1.83%10.7萬
遞延稅費
305.80%14.2萬
136.29%4.5萬
-159.34%-70.8萬
-1,028.00%-23.2萬
420.00%23.4萬
-7.81%-6.9萬
-210.71%-12.4萬
-301.47%-27.3萬
113.30%2.5萬
4,600.00%4.5萬
其他非現金項目
32.81%-4.3萬
207.69%2.8萬
-20.00%-3萬
1.36%-14.5萬
0.00%-3萬
5.88%-6.4萬
-8.33%-2.6萬
0.00%-2.5萬
-32.43%-14.7萬
3.23%-3萬
營運資金變動
-148.39%-40.5萬
-199.08%-53.6萬
44.24%-12.1萬
76.55%25.6萬
-448.48%-90.5萬
275.34%83.7萬
940.38%54.1萬
-720.00%-21.7萬
-64.29%14.5萬
95.54%-16.5萬
-應收款項(增)減
166.67%1.6萬
-73.68%-19.8萬
3,840.00%18.7萬
-1.26%-40.1萬
-9.92%-28.8萬
107.50%6,000
-40.74%-11.4萬
-118.52%-5,000
-1,337.50%-39.6萬
-85.82%-26.2萬
-應付款項及遞延費用(減)增
-139.24%-35.2萬
-90.05%5.7萬
-69.33%-25.4萬
14.27%81.7萬
-1,067.31%-50.3萬
75.54%89.7萬
369.67%57.3萬
-600.00%-15萬
67.84%71.5萬
101.43%5.2萬
-其他流動資產變化
-4.55%-6.9萬
-581.71%-39.5萬
12.90%-5.4萬
8.05%-16萬
-353.33%-11.4萬
68.27%-6.6萬
645.45%8.2萬
-181.82%-6.2萬
-234.62%-17.4萬
-27.42%4.5萬
非持續經營活動現金流
經營活動現金淨額
-40.92%86.9萬
-56.03%45.6萬
50.22%69.4萬
-26.88%228.8萬
-217.18%-68.2萬
55.33%147.1萬
11.87%103.7萬
-31.35%46.2萬
78.09%312.9萬
119.35%58.2萬
投資活動現金流量
持續投資活動現金淨額
-196.33%-855.8萬
304.01%2,393.8萬
-80.12%-668.8萬
56.84%-3,115.4萬
69.39%-1,281.9萬
77.09%-288.8萬
18.83%-1,173.4萬
-14.49%-371.3萬
-36.72%-7,218.4萬
-115.01%-4,187.8萬
其他金融機構的計息存款收益
215.55%457萬
926.14%2,076.1萬
-2,860.04%-1,622.1萬
-179.40%-1,024.3萬
-90.27%-322.7萬
-156.02%-395.5萬
-20.59%-251.3萬
-105.70%-54.8萬
1,472.34%1,290萬
-146.90%-169.6萬
投資產品交易淨現金流
290.68%1,149萬
32.16%346.8萬
-79.20%156.6萬
129.56%1,563.6萬
109.00%254.1萬
129.77%294.1萬
140.59%262.4萬
190.54%753萬
-18.25%-5,289.8萬
-43.66%-2,823.7萬
貸款淨收益
-7,056.85%-2,454.8萬
90.57%-84.8萬
202.08%985.3萬
4.54%-2,989.1萬
2.97%-1,090.3萬
96.51%-34.3萬
-52.63%-899.3萬
-122.09%-965.2萬
-349.05%-3,131.2萬
-227.13%-1,123.7萬
固定資產交易的淨現金流
98.94%-1.1萬
91.48%-19.5萬
4.83%-98.6萬
-1,385.68%-560.1萬
-3,660.61%-124.1萬
-661.76%-103.6萬
-20,700.00%-228.8萬
-425.89%-103.6萬
-175.18%-37.7萬
-3,400.00%-3.3萬
其他投資活動的淨現金流
88.08%-5.9萬
233.33%75.2萬
-13,457.14%-94.9萬
-112.27%-105.5萬
101.63%1.1萬
-367.57%-49.5萬
-14,000.00%-56.4萬
-133.33%-7,000
-3,723.08%-49.7萬
-22,400.00%-67.5萬
非持續投資現金淨額
投資活動現金流淨額
-196.33%-855.8萬
304.01%2,393.8萬
-80.12%-668.8萬
56.84%-3,115.4萬
69.39%-1,281.9萬
77.09%-288.8萬
18.83%-1,173.4萬
-14.49%-371.3萬
-36.72%-7,218.4萬
-115.01%-4,187.8萬
融資活動現金流量
持續融資活動現金淨額
-280.34%-683.5萬
-194.26%-1,310.4萬
1,091.02%1,392.3萬
-41.14%3,299.9萬
-65.81%1,413.8萬
80.73%379萬
117.56%1,390.2萬
-81.22%116.9萬
-13.59%5,606.7萬
320.23%4,135.5萬
存款的增減
164.59%172.4萬
-242.14%-723.2萬
941.74%1,457.4萬
0.09%2,116.4萬
25.01%1,734.6萬
58.19%-266.9萬
-26.37%508.8萬
-79.25%139.9萬
-46.87%2,114.4萬
32.68%1,387.6萬
債務發行/償還的淨現金流
-206.57%-801.6萬
-155.80%-531.5萬
-126.38%-36.9萬
-58.76%1,440.2萬
-109.03%-248.2萬
-11.31%752.2萬
1,931.73%952.5萬
68.47%-16.3萬
701.81%3,492.3萬
5,456.53%2,747.9萬
普通股發行/償還的淨現金流
56.73%-41.8萬
29.51%-43萬
---15.4萬
---219.9萬
---62.3萬
---96.6萬
---61萬
--0
--0
--0
現金股利支付
-28.87%-12.5萬
-25.74%-12.7萬
-91.04%-12.8萬
---36.8萬
---10.3萬
---9.7萬
---10.1萬
---6.7萬
--0
--0
非持續融資活動現金淨額
融資活動現金流淨額
-280.34%-683.5萬
-194.26%-1,310.4萬
1,091.02%1,392.3萬
-41.14%3,299.9萬
-65.81%1,413.8萬
80.73%379萬
117.56%1,390.2萬
-81.22%116.9萬
-13.59%5,606.7萬
320.23%4,135.5萬
現金淨流量
期初現金流
221.18%3,227.9萬
206.63%2,098.9萬
46.30%1,306萬
-59.27%892.7萬
40.09%1,242.3萬
-45.47%1,005萬
-73.23%684.5萬
-59.27%892.7萬
171.46%2,191.5萬
-74.34%886.8萬
當期現金流變化
-712.05%-1,452.4萬
252.26%1,129萬
480.84%792.9萬
131.82%413.3萬
979.66%63.7萬
124.81%237.3萬
144.89%320.5萬
-156.96%-208.2萬
-193.83%-1,298.8萬
100.47%5.9萬
期末現金流
42.92%1,775.5萬
221.18%3,227.9萬
206.63%2,098.9萬
46.30%1,306萬
46.30%1,306萬
40.09%1,242.3萬
-45.47%1,005萬
-73.23%684.5萬
-59.27%892.7萬
-59.27%892.7萬
自由現金流
97.24%85.8萬
120.86%26.1萬
49.13%-29.2萬
-221.09%-331.3萬
-460.79%-192.3萬
-46.36%43.5萬
-236.57%-125.1萬
-220.59%-57.4萬
68.89%273.6萬
117.73%53.3萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
--
--
無保留意見
--
--
--
--
無保留意見
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -40.92%86.9萬-56.03%45.6萬50.22%69.4萬-26.88%228.8萬-217.18%-68.2萬55.33%147.1萬11.87%103.7萬-31.35%46.2萬78.09%312.9萬119.35%58.2萬
持續經營淨收入 12.94%51.5萬117.50%34.8萬-164.01%-268.5萬-141.79%-73.3萬-181.37%-33.2萬-15.40%45.6萬-61.54%16萬-360.10%-101.7萬238.61%175.4萬42.66%40.8萬
持續經營損益 ---8,000628.57%10.2萬139.00%403.2萬33,900.00%169萬75.00%-1.1萬--0--1.4萬--168.7萬---5,000---4.4萬
折舊和攤銷 68.60%14.5萬17.36%14.2萬30.28%14.2萬-2.09%42.2萬-0.93%10.6萬-20.37%8.6萬13.08%12.1萬0.00%10.9萬-1.37%43.1萬-1.83%10.7萬
遞延稅費 305.80%14.2萬136.29%4.5萬-159.34%-70.8萬-1,028.00%-23.2萬420.00%23.4萬-7.81%-6.9萬-210.71%-12.4萬-301.47%-27.3萬113.30%2.5萬4,600.00%4.5萬
其他非現金項目 32.81%-4.3萬207.69%2.8萬-20.00%-3萬1.36%-14.5萬0.00%-3萬5.88%-6.4萬-8.33%-2.6萬0.00%-2.5萬-32.43%-14.7萬3.23%-3萬
營運資金變動 -148.39%-40.5萬-199.08%-53.6萬44.24%-12.1萬76.55%25.6萬-448.48%-90.5萬275.34%83.7萬940.38%54.1萬-720.00%-21.7萬-64.29%14.5萬95.54%-16.5萬
-應收款項(增)減 166.67%1.6萬-73.68%-19.8萬3,840.00%18.7萬-1.26%-40.1萬-9.92%-28.8萬107.50%6,000-40.74%-11.4萬-118.52%-5,000-1,337.50%-39.6萬-85.82%-26.2萬
-應付款項及遞延費用(減)增 -139.24%-35.2萬-90.05%5.7萬-69.33%-25.4萬14.27%81.7萬-1,067.31%-50.3萬75.54%89.7萬369.67%57.3萬-600.00%-15萬67.84%71.5萬101.43%5.2萬
-其他流動資產變化 -4.55%-6.9萬-581.71%-39.5萬12.90%-5.4萬8.05%-16萬-353.33%-11.4萬68.27%-6.6萬645.45%8.2萬-181.82%-6.2萬-234.62%-17.4萬-27.42%4.5萬
非持續經營活動現金流
經營活動現金淨額 -40.92%86.9萬-56.03%45.6萬50.22%69.4萬-26.88%228.8萬-217.18%-68.2萬55.33%147.1萬11.87%103.7萬-31.35%46.2萬78.09%312.9萬119.35%58.2萬
投資活動現金流量
持續投資活動現金淨額 -196.33%-855.8萬304.01%2,393.8萬-80.12%-668.8萬56.84%-3,115.4萬69.39%-1,281.9萬77.09%-288.8萬18.83%-1,173.4萬-14.49%-371.3萬-36.72%-7,218.4萬-115.01%-4,187.8萬
其他金融機構的計息存款收益 215.55%457萬926.14%2,076.1萬-2,860.04%-1,622.1萬-179.40%-1,024.3萬-90.27%-322.7萬-156.02%-395.5萬-20.59%-251.3萬-105.70%-54.8萬1,472.34%1,290萬-146.90%-169.6萬
投資產品交易淨現金流 290.68%1,149萬32.16%346.8萬-79.20%156.6萬129.56%1,563.6萬109.00%254.1萬129.77%294.1萬140.59%262.4萬190.54%753萬-18.25%-5,289.8萬-43.66%-2,823.7萬
貸款淨收益 -7,056.85%-2,454.8萬90.57%-84.8萬202.08%985.3萬4.54%-2,989.1萬2.97%-1,090.3萬96.51%-34.3萬-52.63%-899.3萬-122.09%-965.2萬-349.05%-3,131.2萬-227.13%-1,123.7萬
固定資產交易的淨現金流 98.94%-1.1萬91.48%-19.5萬4.83%-98.6萬-1,385.68%-560.1萬-3,660.61%-124.1萬-661.76%-103.6萬-20,700.00%-228.8萬-425.89%-103.6萬-175.18%-37.7萬-3,400.00%-3.3萬
其他投資活動的淨現金流 88.08%-5.9萬233.33%75.2萬-13,457.14%-94.9萬-112.27%-105.5萬101.63%1.1萬-367.57%-49.5萬-14,000.00%-56.4萬-133.33%-7,000-3,723.08%-49.7萬-22,400.00%-67.5萬
非持續投資現金淨額
投資活動現金流淨額 -196.33%-855.8萬304.01%2,393.8萬-80.12%-668.8萬56.84%-3,115.4萬69.39%-1,281.9萬77.09%-288.8萬18.83%-1,173.4萬-14.49%-371.3萬-36.72%-7,218.4萬-115.01%-4,187.8萬
融資活動現金流量
持續融資活動現金淨額 -280.34%-683.5萬-194.26%-1,310.4萬1,091.02%1,392.3萬-41.14%3,299.9萬-65.81%1,413.8萬80.73%379萬117.56%1,390.2萬-81.22%116.9萬-13.59%5,606.7萬320.23%4,135.5萬
存款的增減 164.59%172.4萬-242.14%-723.2萬941.74%1,457.4萬0.09%2,116.4萬25.01%1,734.6萬58.19%-266.9萬-26.37%508.8萬-79.25%139.9萬-46.87%2,114.4萬32.68%1,387.6萬
債務發行/償還的淨現金流 -206.57%-801.6萬-155.80%-531.5萬-126.38%-36.9萬-58.76%1,440.2萬-109.03%-248.2萬-11.31%752.2萬1,931.73%952.5萬68.47%-16.3萬701.81%3,492.3萬5,456.53%2,747.9萬
普通股發行/償還的淨現金流 56.73%-41.8萬29.51%-43萬---15.4萬---219.9萬---62.3萬---96.6萬---61萬--0--0--0
現金股利支付 -28.87%-12.5萬-25.74%-12.7萬-91.04%-12.8萬---36.8萬---10.3萬---9.7萬---10.1萬---6.7萬--0--0
非持續融資活動現金淨額
融資活動現金流淨額 -280.34%-683.5萬-194.26%-1,310.4萬1,091.02%1,392.3萬-41.14%3,299.9萬-65.81%1,413.8萬80.73%379萬117.56%1,390.2萬-81.22%116.9萬-13.59%5,606.7萬320.23%4,135.5萬
現金淨流量
期初現金流 221.18%3,227.9萬206.63%2,098.9萬46.30%1,306萬-59.27%892.7萬40.09%1,242.3萬-45.47%1,005萬-73.23%684.5萬-59.27%892.7萬171.46%2,191.5萬-74.34%886.8萬
當期現金流變化 -712.05%-1,452.4萬252.26%1,129萬480.84%792.9萬131.82%413.3萬979.66%63.7萬124.81%237.3萬144.89%320.5萬-156.96%-208.2萬-193.83%-1,298.8萬100.47%5.9萬
期末現金流 42.92%1,775.5萬221.18%3,227.9萬206.63%2,098.9萬46.30%1,306萬46.30%1,306萬40.09%1,242.3萬-45.47%1,005萬-73.23%684.5萬-59.27%892.7萬-59.27%892.7萬
自由現金流 97.24%85.8萬120.86%26.1萬49.13%-29.2萬-221.09%-331.3萬-460.79%-192.3萬-46.36%43.5萬-236.57%-125.1萬-220.59%-57.4萬68.89%273.6萬117.73%53.3萬
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