美股市場個股詳情

WaFd (WAFD)

添加自選
  • 32.710
  • -0.020-0.06%
收盤價 04/14 16:00 (美東)
  • 32.660
  • -0.050-0.15%
盤後 20:01 (美東)
24.81億總市值11.36市盈率TTM

WaFd (WAFD) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
22.35%6,048萬
-46.05%2.37億
-40.61%5,738萬
-8.14%5,800.7萬
-57.37%7,213.5萬
-55.17%4,943萬
105.29%4.39億
16.58%9,662.1萬
213.35%6,315萬
277.47%1.69億
持續經營淨收入
35.82%6,419.6萬
13.01%2.26億
-0.89%6,059.7萬
-4.04%6,195.2萬
254.05%5,625.2萬
-19.14%4,726.7萬
-22.29%2億
21.77%6,114萬
4.51%6,456萬
-75.90%1,588.8萬
持續經營損益
-744.37%-382.5萬
84.85%-43.9萬
257.76%18.3萬
97.67%-1,000
-118.38%-16.8萬
87.60%-45.3萬
-144.27%-289.7萬
22.67%-11.6萬
95.25%-4.3萬
814.00%91.4萬
折舊和攤銷
-103.52%-156.1萬
-92.75%971.8萬
97.93%-124.5萬
-16.81%-1,351.6萬
-108.72%-1,987.1萬
300.72%4,435萬
483.82%1.34億
-922.22%-6,004.7萬
-178.17%-1,157.1萬
30,516.02%2.28億
營運資金變動
91.12%-387.5萬
-119.26%-1,565.6萬
-108.67%-813.7萬
-14.56%550.8萬
132.44%3,059.2萬
-157.96%-4,361.9萬
171.41%8,130.5萬
3,258.43%9,390萬
109.71%644.7萬
-256.91%-9,430.3萬
-應收款項(增)減
24.74%981.6萬
-63.80%1,036.2萬
-68.36%319.2萬
-73.02%823.9萬
56.25%-893.8萬
-6.68%786.9萬
196.11%2,862.4萬
186.06%1,008.8萬
1,166.84%3,053.3萬
-444.34%-2,042.9萬
-應付款項及遞延費用(減)增
18.99%-1,985.6萬
110.63%939.3萬
250.72%3,008.3萬
-23.62%-2,513.3萬
193.37%2,895.5萬
-43.47%-2,451.2萬
-721.98%-8,838.7萬
-173.88%-1,996萬
-1,511.88%-2,033.1萬
-3.66%-3,101.1萬
-其他流動資產變化
132.33%812.7萬
-118.84%-2,788.5萬
-137.39%-3,947.4萬
1,327.99%2,430.2萬
130.18%1,242.3萬
-129.38%-2,513.6萬
319.78%1.48億
732.25%1.06億
96.88%-197.9萬
-524.06%-4,115.9萬
-其他營運資本變化
-6.63%-196.2萬
-8.55%-752.6萬
-6.84%-193.8萬
-6.98%-190萬
-8.45%-184.8萬
-12.26%-184萬
-16.01%-693.3萬
-15.76%-181.4萬
-17.54%-177.6萬
30.70%-170.4萬
非持續經營活動現金流
經營活動現金淨額
22.35%6,048萬
-46.05%2.37億
-40.61%5,738萬
-8.14%5,800.7萬
-57.37%7,213.5萬
-55.17%4,943萬
105.29%4.39億
16.58%9,662.1萬
213.35%6,315萬
277.47%1.69億
投資活動現金流量
持續投資活動現金淨額
0.56%-5.12億
-109.69%-3.18億
-116.19%-5,875.9萬
-81.36%4.69億
-144.58%-2.14億
-624.48%-5.15億
338.56%32.87億
497.08%3.63億
1,782.65%25.15億
334.16%4.8億
投資產品交易淨現金流
-139.42%-7.15億
-23,611.25%-11.31億
-152.30%-2.46億
-1,069.00%-2.23億
-777.85%-3.63億
-1,257.72%-2.99億
-93.30%481.1萬
-452.43%-9,758.8萬
179.07%2,300.5萬
-38.00%5,359.2萬
貸款淨收益
235.21%2.43億
-68.19%8.3億
-61.05%1.91億
-73.07%6.59億
164.57%1.59億
-119.42%-1.8億
284.94%26.08億
502.38%4.91億
1,955.86%24.46億
10.71%-2.47億
固定資產交易的淨現金流
-119.36%-1,043.5萬
-15.76%-2,701.8萬
-63.58%-1,177.6萬
-1.48%-493.1萬
-58.32%-555.4萬
38.81%-475.7萬
-67.04%-2,334萬
-94.41%-719.9萬
17.99%-485.9萬
-25.64%-350.8萬
無形資產交易的淨現金流
----
----
----
----
----
--0
----
----
----
----
業務交易的淨現金流
-455.56%-200萬
-100.06%-36萬
--0
--0
--0
52.00%-36萬
24,176.56%6.24億
--0
-178.98%-219萬
--6.27億
其他投資活動的淨現金流
8.02%-3,015萬
-85.89%1,041.5萬
161.60%1,069.6萬
-25.52%3,520萬
-104.91%-270.3萬
-194.77%-3,277.8萬
424.61%7,383.6萬
-303.52%-1,736.4萬
161.01%4,726.4萬
583.54%5,505.6萬
非持續投資現金淨額
投資活動現金流淨額
0.56%-5.12億
-109.69%-3.18億
-116.19%-5,875.9萬
-81.36%4.69億
-144.58%-2.14億
-624.48%-5.15億
338.56%32.87億
497.08%3.63億
1,782.65%25.15億
334.16%4.8億
融資活動現金流量
持續融資活動現金淨額
229.54%5.29億
29.39%-16.42億
73.63%-1.51億
40.37%-9.49億
53.36%-1.34億
-426.86%-4.08億
-259.24%-23.26億
-279.46%-5.71億
-1,158.10%-15.92億
-145.54%-2.88億
存款的增減
-131.89%-2,066.6萬
119.62%6,366.6萬
-73.60%5,106.5萬
72.58%-4,085.5萬
96.64%-1,135.1萬
305.46%6,480.7萬
-896.16%-3.25億
486.18%1.93億
-157.43%-1.49億
-240.52%-3.37億
債務發行/償還的淨現金流
264.78%6.7億
20.65%-15.08億
77.12%-1.75億
41.02%-8.25億
-364.46%-1.01億
-280.71%-4.07億
-224.62%-19億
-665.00%-7.65億
-2,697.74%-13.99億
-94.71%3,838萬
普通股發行/償還的淨現金流
-1,601.38%-5,801.7萬
-276.56%-1.02億
-11,435.60%-2,883.9萬
-408.05%-4,834.1萬
-8,792.08%-2,134.1萬
80.02%-341萬
11.14%-2,706.9萬
-1,823.08%-25萬
66.75%-951.5萬
-122.22%-24萬
現金股利支付
2.28%-2,401.8萬
-11.67%-9,926.4萬
0.04%-2,451萬
-1.27%-2,490萬
-25.49%-2,527.5萬
-25.12%-2,457.9萬
-13.36%-8,889.2萬
-24.95%-2,451.9萬
-25.11%-2,458.7萬
-1.21%-2,014.1萬
職工行使股票期權收到的現金
-75.16%67.2萬
-22.56%478.5萬
-80.90%55.6萬
9.21%80.6萬
-33.58%71.8萬
86.68%270.5萬
388.07%617.9萬
1,182.38%291.1萬
4,512.50%73.8萬
318.99%108.1萬
其他融資活動的淨現金流額
4.82%-3,915.7萬
-116.91%-148.5萬
16.64%2,616.5萬
-3.48%-1,081.6萬
-19.26%2,430.8萬
-23.53%-4,114.2萬
251.34%878萬
17.85%2,243.2萬
3.19%-1,045.2萬
12.82%3,010.6萬
非持續融資活動現金淨額
融資活動現金流淨額
229.54%5.29億
29.39%-16.42億
73.63%-1.51億
40.37%-9.49億
53.36%-1.34億
-426.86%-4.08億
-259.24%-23.26億
-279.46%-5.71億
-1,158.10%-15.92億
-145.54%-2.88億
現金淨流量
期初現金流
-72.39%6.57億
142.81%23.81億
-67.53%8.09億
-18.22%12.31億
31.71%15.08億
142.81%23.81億
43.38%9.81億
118.71%24.93億
34.62%15.06億
77.25%11.45億
當期現金流變化
108.89%7,760.5萬
-223.09%-17.24億
-36.39%-1.52億
-142.79%-4.22億
-176.53%-2.76億
-632.14%-8.73億
372.04%14億
29.93%-1.11億
4,576.68%9.87億
-23.63%3.61億
期末現金流
-51.26%7.35億
-72.39%6.57億
-72.39%6.57億
-67.53%8.09億
-18.22%12.31億
31.71%15.08億
142.81%23.81億
142.81%23.81億
118.71%24.93億
34.62%15.06億
自由現金流
16.41%5,003.9萬
-49.77%2.08億
-49.00%4,560.4萬
-8.95%5,307.6萬
-59.59%6,658.1萬
-57.89%4,298.4萬
108.43%4.15億
13.15%8,942.2萬
318.01%5,829.1萬
292.01%1.65億
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)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 22.35%6,048萬-46.05%2.37億-40.61%5,738萬-8.14%5,800.7萬-57.37%7,213.5萬-55.17%4,943萬105.29%4.39億16.58%9,662.1萬213.35%6,315萬277.47%1.69億
持續經營淨收入 35.82%6,419.6萬13.01%2.26億-0.89%6,059.7萬-4.04%6,195.2萬254.05%5,625.2萬-19.14%4,726.7萬-22.29%2億21.77%6,114萬4.51%6,456萬-75.90%1,588.8萬
持續經營損益 -744.37%-382.5萬84.85%-43.9萬257.76%18.3萬97.67%-1,000-118.38%-16.8萬87.60%-45.3萬-144.27%-289.7萬22.67%-11.6萬95.25%-4.3萬814.00%91.4萬
折舊和攤銷 -103.52%-156.1萬-92.75%971.8萬97.93%-124.5萬-16.81%-1,351.6萬-108.72%-1,987.1萬300.72%4,435萬483.82%1.34億-922.22%-6,004.7萬-178.17%-1,157.1萬30,516.02%2.28億
營運資金變動 91.12%-387.5萬-119.26%-1,565.6萬-108.67%-813.7萬-14.56%550.8萬132.44%3,059.2萬-157.96%-4,361.9萬171.41%8,130.5萬3,258.43%9,390萬109.71%644.7萬-256.91%-9,430.3萬
-應收款項(增)減 24.74%981.6萬-63.80%1,036.2萬-68.36%319.2萬-73.02%823.9萬56.25%-893.8萬-6.68%786.9萬196.11%2,862.4萬186.06%1,008.8萬1,166.84%3,053.3萬-444.34%-2,042.9萬
-應付款項及遞延費用(減)增 18.99%-1,985.6萬110.63%939.3萬250.72%3,008.3萬-23.62%-2,513.3萬193.37%2,895.5萬-43.47%-2,451.2萬-721.98%-8,838.7萬-173.88%-1,996萬-1,511.88%-2,033.1萬-3.66%-3,101.1萬
-其他流動資產變化 132.33%812.7萬-118.84%-2,788.5萬-137.39%-3,947.4萬1,327.99%2,430.2萬130.18%1,242.3萬-129.38%-2,513.6萬319.78%1.48億732.25%1.06億96.88%-197.9萬-524.06%-4,115.9萬
-其他營運資本變化 -6.63%-196.2萬-8.55%-752.6萬-6.84%-193.8萬-6.98%-190萬-8.45%-184.8萬-12.26%-184萬-16.01%-693.3萬-15.76%-181.4萬-17.54%-177.6萬30.70%-170.4萬
非持續經營活動現金流
經營活動現金淨額 22.35%6,048萬-46.05%2.37億-40.61%5,738萬-8.14%5,800.7萬-57.37%7,213.5萬-55.17%4,943萬105.29%4.39億16.58%9,662.1萬213.35%6,315萬277.47%1.69億
投資活動現金流量
持續投資活動現金淨額 0.56%-5.12億-109.69%-3.18億-116.19%-5,875.9萬-81.36%4.69億-144.58%-2.14億-624.48%-5.15億338.56%32.87億497.08%3.63億1,782.65%25.15億334.16%4.8億
投資產品交易淨現金流 -139.42%-7.15億-23,611.25%-11.31億-152.30%-2.46億-1,069.00%-2.23億-777.85%-3.63億-1,257.72%-2.99億-93.30%481.1萬-452.43%-9,758.8萬179.07%2,300.5萬-38.00%5,359.2萬
貸款淨收益 235.21%2.43億-68.19%8.3億-61.05%1.91億-73.07%6.59億164.57%1.59億-119.42%-1.8億284.94%26.08億502.38%4.91億1,955.86%24.46億10.71%-2.47億
固定資產交易的淨現金流 -119.36%-1,043.5萬-15.76%-2,701.8萬-63.58%-1,177.6萬-1.48%-493.1萬-58.32%-555.4萬38.81%-475.7萬-67.04%-2,334萬-94.41%-719.9萬17.99%-485.9萬-25.64%-350.8萬
無形資產交易的淨現金流 ----------------------0----------------
業務交易的淨現金流 -455.56%-200萬-100.06%-36萬--0--0--052.00%-36萬24,176.56%6.24億--0-178.98%-219萬--6.27億
其他投資活動的淨現金流 8.02%-3,015萬-85.89%1,041.5萬161.60%1,069.6萬-25.52%3,520萬-104.91%-270.3萬-194.77%-3,277.8萬424.61%7,383.6萬-303.52%-1,736.4萬161.01%4,726.4萬583.54%5,505.6萬
非持續投資現金淨額
投資活動現金流淨額 0.56%-5.12億-109.69%-3.18億-116.19%-5,875.9萬-81.36%4.69億-144.58%-2.14億-624.48%-5.15億338.56%32.87億497.08%3.63億1,782.65%25.15億334.16%4.8億
融資活動現金流量
持續融資活動現金淨額 229.54%5.29億29.39%-16.42億73.63%-1.51億40.37%-9.49億53.36%-1.34億-426.86%-4.08億-259.24%-23.26億-279.46%-5.71億-1,158.10%-15.92億-145.54%-2.88億
存款的增減 -131.89%-2,066.6萬119.62%6,366.6萬-73.60%5,106.5萬72.58%-4,085.5萬96.64%-1,135.1萬305.46%6,480.7萬-896.16%-3.25億486.18%1.93億-157.43%-1.49億-240.52%-3.37億
債務發行/償還的淨現金流 264.78%6.7億20.65%-15.08億77.12%-1.75億41.02%-8.25億-364.46%-1.01億-280.71%-4.07億-224.62%-19億-665.00%-7.65億-2,697.74%-13.99億-94.71%3,838萬
普通股發行/償還的淨現金流 -1,601.38%-5,801.7萬-276.56%-1.02億-11,435.60%-2,883.9萬-408.05%-4,834.1萬-8,792.08%-2,134.1萬80.02%-341萬11.14%-2,706.9萬-1,823.08%-25萬66.75%-951.5萬-122.22%-24萬
現金股利支付 2.28%-2,401.8萬-11.67%-9,926.4萬0.04%-2,451萬-1.27%-2,490萬-25.49%-2,527.5萬-25.12%-2,457.9萬-13.36%-8,889.2萬-24.95%-2,451.9萬-25.11%-2,458.7萬-1.21%-2,014.1萬
職工行使股票期權收到的現金 -75.16%67.2萬-22.56%478.5萬-80.90%55.6萬9.21%80.6萬-33.58%71.8萬86.68%270.5萬388.07%617.9萬1,182.38%291.1萬4,512.50%73.8萬318.99%108.1萬
其他融資活動的淨現金流額 4.82%-3,915.7萬-116.91%-148.5萬16.64%2,616.5萬-3.48%-1,081.6萬-19.26%2,430.8萬-23.53%-4,114.2萬251.34%878萬17.85%2,243.2萬3.19%-1,045.2萬12.82%3,010.6萬
非持續融資活動現金淨額
融資活動現金流淨額 229.54%5.29億29.39%-16.42億73.63%-1.51億40.37%-9.49億53.36%-1.34億-426.86%-4.08億-259.24%-23.26億-279.46%-5.71億-1,158.10%-15.92億-145.54%-2.88億
現金淨流量
期初現金流 -72.39%6.57億142.81%23.81億-67.53%8.09億-18.22%12.31億31.71%15.08億142.81%23.81億43.38%9.81億118.71%24.93億34.62%15.06億77.25%11.45億
當期現金流變化 108.89%7,760.5萬-223.09%-17.24億-36.39%-1.52億-142.79%-4.22億-176.53%-2.76億-632.14%-8.73億372.04%14億29.93%-1.11億4,576.68%9.87億-23.63%3.61億
期末現金流 -51.26%7.35億-72.39%6.57億-72.39%6.57億-67.53%8.09億-18.22%12.31億31.71%15.08億142.81%23.81億142.81%23.81億118.71%24.93億34.62%15.06億
自由現金流 16.41%5,003.9萬-49.77%2.08億-49.00%4,560.4萬-8.95%5,307.6萬-59.59%6,658.1萬-57.89%4,298.4萬108.43%4.15億13.15%8,942.2萬318.01%5,829.1萬292.01%1.65億
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