美股市场个股详情

Home Federal Bancorp (HFBL)

添加自选
  • 17.440
  • 0.0000.00%
收盘价 03/27 16:00 (美东)
  • 17.440
  • 0.0000.00%
盘后 20:01 (美东)
5362.17万总市值10.32市盈率TTM

Home Federal Bancorp (HFBL) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
经营活动现金流量(间接法)
持续经营活动现金净额
10.23%285.5万
218.71%277.6万
136.07%547.2万
-45.10%102万
52.46%99.1万
198.29%259万
-64.38%87.1万
-80.85%231.8万
-43.20%185.8万
-82.92%65万
持续经营净收入
64.22%167.5万
69.93%159.9万
8.21%388.8万
84.95%118万
2.05%74.7万
1.69%102万
-22.87%94.1万
-37.01%359.3万
-49.28%63.8万
-31.07%73.2万
持续经营损益
-13,100.00%-13万
-52.08%-14.6万
-29.90%-37.8万
-150.62%-20.3万
-33.33%-8万
100.78%1,000
-357.14%-9.6万
39.25%-29.1万
-14.08%-8.1万
36.17%-6万
折旧和摊销
7.02%32万
12.50%33.3万
6.96%136.7万
32.14%40.7万
16.24%36.5万
-30.79%29.9万
32.14%29.6万
47.07%127.8万
105.33%30.8万
9.03%31.4万
递延税费
133.90%2万
104.75%1.4万
-233.61%-16.3万
14.67%17.2万
111.31%1.9万
-120.56%-5.9万
-100.68%-29.5万
170.11%12.2万
167.87%15万
-146.03%-16.8万
其他非现金项目
-73.53%51.9万
195.50%27.6万
124.18%46.3万
-414.18%-42.1万
-7,980.00%-78.8万
284.48%196.1万
70.98%-28.9万
-144.20%-191.5万
-88.72%13.4万
-99.13%1万
营运资金变动
167.87%28.1万
1,538.10%68.8万
140.28%25.7万
-119.13%-11.5万
447.06%74.4万
86.07%-41.4万
-97.37%4.2万
-206.16%-63.8万
-10.30%60.1万
-81.99%13.6万
-应收款项(增)减
26.92%-1.9万
-228.57%-1.8万
-506.67%-6.1万
-121.66%-3.4万
69.39%-1.5万
-208.33%-2.6万
111.97%1.4万
102.25%1.5万
192.35%15.7万
79.24%-4.9万
-其他流动资产变化
-327.59%-6.6万
142.86%9.6万
-39.19%4.5万
484.48%22.3万
6.25%1.7万
161.70%2.9万
-237.42%-22.4万
311.43%7.4万
-441.18%-5.8万
128.57%1.6万
-其他流动负债变化
187.77%36.6万
142.06%61万
137.55%27.3万
-160.56%-30.4万
339.05%74.2万
85.86%-41.7万
-83.75%25.2万
-155.84%-72.7万
-39.00%50.2万
-82.83%16.9万
非持续经营活动现金流
经营活动现金净额
10.23%285.5万
218.71%277.6万
136.07%547.2万
-45.10%102万
52.46%99.1万
198.29%259万
-64.38%87.1万
-80.85%231.8万
-43.20%185.8万
-82.92%65万
投资活动现金流量
持续投资活动现金净额
-79.23%-653.1万
-124.68%-410.2万
-70.38%1,021.3万
-109.20%-292.7万
-98.44%16.3万
-135.31%-364.4万
191.60%1,662.1万
129.90%3,448.4万
1,229.41%3,182.6万
112.30%1,048.2万
投资产品交易净现金流
214.85%72.1万
-76.65%-96.1万
-103.75%-69万
-103.03%-12.6万
-103.05%-24.9万
-96.30%22.9万
-547.62%-54.4万
410.59%1,842.4万
-30.80%415.8万
170.71%816.1万
贷款净收益
-85.35%-733.8万
-124.03%-411.5万
-46.52%984万
-109.77%-274.2万
-118.50%-58.5万
-182.17%-395.9万
197.07%1,712.6万
118.99%1,839.8万
940.37%2,806万
105.12%316.3万
固定资产交易的净现金流
--0
-150.00%-8,000
98.29%-4.6万
89.84%-3.8万
97.73%-1.8万
99.31%-6,000
102.44%1.6万
-127.43%-268.6万
-103.26%-37.4万
-8.94%-79.2万
业务交易的净现金流
----
----
----
----
----
----
----
--0
--0
----
其他投资活动的净现金流
-6.52%8.6万
4,169.57%98.2万
218.68%110.9万
-16.67%-2.1万
2,130.00%101.5万
-48.31%9.2万
-90.34%2.3万
132.37%34.8万
80.43%-1.8万
---5万
非持续投资现金净额
投资活动现金流净额
-79.23%-653.1万
-124.68%-410.2万
-70.38%1,021.3万
-109.20%-292.7万
-98.44%16.3万
-135.31%-364.4万
191.60%1,662.1万
129.90%3,448.4万
1,229.41%3,182.6万
112.30%1,048.2万
融资活动现金流量
持续融资活动现金净额
82.65%-354.8万
191.88%1,047.1万
-25.05%-3,328.6万
-65.58%-1,118.5万
182.72%974.5万
-158.99%-2,045万
-5,994.12%-1,139.6万
-141.66%-2,661.9万
74.48%-675.5万
-111.05%-1,178.1万
存款的增减
87.17%-231.1万
215.36%1,089.8万
-18.68%-2,771.7万
-114.87%-1,047.3万
312.59%1,021.9万
-104.33%-1,801.6万
-94.54%-944.7万
-135.73%-2,335.4万
71.35%-487.4万
-105.00%-480.7万
债务发行/偿还的净现金流
--0
--0
-93.55%-300万
--0
--0
-193.75%-150万
-130.61%-150万
-128.87%-155万
84.54%-150万
-160.17%-655万
普通股发行/偿还的净现金流
-1,209.87%-199.1万
-53.30%-27.9万
-120.33%-107.3万
-24.33%-55.7万
-1,922.22%-18.2万
-406.67%-15.2万
---18.2万
91.83%-48.7万
---44.8万
-800.00%-9,000
现金股利支付
-2.70%-41.8万
-1.47%-41.5万
-3.82%-162.9万
-3.57%-40.6万
-3.56%-40.7万
-3.83%-40.7万
-4.34%-40.9万
-2.55%-156.9万
-7.40%-39.2万
-2.34%-39.3万
职工行使股票期权收到的现金
--156.6万
21.05%2.3万
-70.32%11.1万
-74.01%9.2万
--0
--0
--1.9万
14.02%37.4万
218.92%35.4万
5.26%2万
其他融资活动的净现金流额
-5.07%-39.4万
98.37%24.4万
166.67%2.2万
51.43%15.9万
373.81%11.5万
-45.91%-37.5万
-23.60%12.3万
-110.22%-3.3万
-78.96%10.5万
62.83%-4.2万
非持续融资活动现金净额
融资活动现金流净额
82.65%-354.8万
191.88%1,047.1万
-25.05%-3,328.6万
-65.58%-1,118.5万
182.72%974.5万
-158.99%-2,045万
-5,994.12%-1,139.6万
-141.66%-2,661.9万
74.48%-675.5万
-111.05%-1,178.1万
现金净流量
期初现金流
-35.45%2,649.2万
-50.36%1,734.7万
41.12%3,494.8万
279.59%3,043.9万
125.43%1,954万
362.31%4,104.4万
41.12%3,494.8万
-61.35%2,476.5万
-82.40%801.9万
-57.61%866.8万
当期现金流变化
66.41%-722.4万
50.02%914.5万
-272.85%-1,760.1万
-148.62%-1,309.2万
1,779.35%1,089.9万
-10,140.00%-2,150.4万
138.37%609.6万
125.90%1,018.3万
229.45%2,692.9万
-102.58%-64.9万
期末现金流
-1.39%1,926.8万
-35.45%2,649.2万
-50.36%1,734.7万
-50.36%1,734.7万
279.59%3,043.9万
125.43%1,954万
362.31%4,104.4万
41.12%3,494.8万
41.12%3,494.8万
-82.40%801.9万
自由现金流
10.49%285.5万
222.24%276.8万
1,574.46%542.6万
-31.94%101万
785.21%97.3万
173.85%258.4万
-51.98%85.9万
-103.37%-36.8万
-51.93%148.4万
-104.61%-14.2万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
(Q2)2025/12/31(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31
经营活动现金流量(间接法)
持续经营活动现金净额 10.23%285.5万218.71%277.6万136.07%547.2万-45.10%102万52.46%99.1万198.29%259万-64.38%87.1万-80.85%231.8万-43.20%185.8万-82.92%65万
持续经营净收入 64.22%167.5万69.93%159.9万8.21%388.8万84.95%118万2.05%74.7万1.69%102万-22.87%94.1万-37.01%359.3万-49.28%63.8万-31.07%73.2万
持续经营损益 -13,100.00%-13万-52.08%-14.6万-29.90%-37.8万-150.62%-20.3万-33.33%-8万100.78%1,000-357.14%-9.6万39.25%-29.1万-14.08%-8.1万36.17%-6万
折旧和摊销 7.02%32万12.50%33.3万6.96%136.7万32.14%40.7万16.24%36.5万-30.79%29.9万32.14%29.6万47.07%127.8万105.33%30.8万9.03%31.4万
递延税费 133.90%2万104.75%1.4万-233.61%-16.3万14.67%17.2万111.31%1.9万-120.56%-5.9万-100.68%-29.5万170.11%12.2万167.87%15万-146.03%-16.8万
其他非现金项目 -73.53%51.9万195.50%27.6万124.18%46.3万-414.18%-42.1万-7,980.00%-78.8万284.48%196.1万70.98%-28.9万-144.20%-191.5万-88.72%13.4万-99.13%1万
营运资金变动 167.87%28.1万1,538.10%68.8万140.28%25.7万-119.13%-11.5万447.06%74.4万86.07%-41.4万-97.37%4.2万-206.16%-63.8万-10.30%60.1万-81.99%13.6万
-应收款项(增)减 26.92%-1.9万-228.57%-1.8万-506.67%-6.1万-121.66%-3.4万69.39%-1.5万-208.33%-2.6万111.97%1.4万102.25%1.5万192.35%15.7万79.24%-4.9万
-其他流动资产变化 -327.59%-6.6万142.86%9.6万-39.19%4.5万484.48%22.3万6.25%1.7万161.70%2.9万-237.42%-22.4万311.43%7.4万-441.18%-5.8万128.57%1.6万
-其他流动负债变化 187.77%36.6万142.06%61万137.55%27.3万-160.56%-30.4万339.05%74.2万85.86%-41.7万-83.75%25.2万-155.84%-72.7万-39.00%50.2万-82.83%16.9万
非持续经营活动现金流
经营活动现金净额 10.23%285.5万218.71%277.6万136.07%547.2万-45.10%102万52.46%99.1万198.29%259万-64.38%87.1万-80.85%231.8万-43.20%185.8万-82.92%65万
投资活动现金流量
持续投资活动现金净额 -79.23%-653.1万-124.68%-410.2万-70.38%1,021.3万-109.20%-292.7万-98.44%16.3万-135.31%-364.4万191.60%1,662.1万129.90%3,448.4万1,229.41%3,182.6万112.30%1,048.2万
投资产品交易净现金流 214.85%72.1万-76.65%-96.1万-103.75%-69万-103.03%-12.6万-103.05%-24.9万-96.30%22.9万-547.62%-54.4万410.59%1,842.4万-30.80%415.8万170.71%816.1万
贷款净收益 -85.35%-733.8万-124.03%-411.5万-46.52%984万-109.77%-274.2万-118.50%-58.5万-182.17%-395.9万197.07%1,712.6万118.99%1,839.8万940.37%2,806万105.12%316.3万
固定资产交易的净现金流 --0-150.00%-8,00098.29%-4.6万89.84%-3.8万97.73%-1.8万99.31%-6,000102.44%1.6万-127.43%-268.6万-103.26%-37.4万-8.94%-79.2万
业务交易的净现金流 ------------------------------0--0----
其他投资活动的净现金流 -6.52%8.6万4,169.57%98.2万218.68%110.9万-16.67%-2.1万2,130.00%101.5万-48.31%9.2万-90.34%2.3万132.37%34.8万80.43%-1.8万---5万
非持续投资现金净额
投资活动现金流净额 -79.23%-653.1万-124.68%-410.2万-70.38%1,021.3万-109.20%-292.7万-98.44%16.3万-135.31%-364.4万191.60%1,662.1万129.90%3,448.4万1,229.41%3,182.6万112.30%1,048.2万
融资活动现金流量
持续融资活动现金净额 82.65%-354.8万191.88%1,047.1万-25.05%-3,328.6万-65.58%-1,118.5万182.72%974.5万-158.99%-2,045万-5,994.12%-1,139.6万-141.66%-2,661.9万74.48%-675.5万-111.05%-1,178.1万
存款的增减 87.17%-231.1万215.36%1,089.8万-18.68%-2,771.7万-114.87%-1,047.3万312.59%1,021.9万-104.33%-1,801.6万-94.54%-944.7万-135.73%-2,335.4万71.35%-487.4万-105.00%-480.7万
债务发行/偿还的净现金流 --0--0-93.55%-300万--0--0-193.75%-150万-130.61%-150万-128.87%-155万84.54%-150万-160.17%-655万
普通股发行/偿还的净现金流 -1,209.87%-199.1万-53.30%-27.9万-120.33%-107.3万-24.33%-55.7万-1,922.22%-18.2万-406.67%-15.2万---18.2万91.83%-48.7万---44.8万-800.00%-9,000
现金股利支付 -2.70%-41.8万-1.47%-41.5万-3.82%-162.9万-3.57%-40.6万-3.56%-40.7万-3.83%-40.7万-4.34%-40.9万-2.55%-156.9万-7.40%-39.2万-2.34%-39.3万
职工行使股票期权收到的现金 --156.6万21.05%2.3万-70.32%11.1万-74.01%9.2万--0--0--1.9万14.02%37.4万218.92%35.4万5.26%2万
其他融资活动的净现金流额 -5.07%-39.4万98.37%24.4万166.67%2.2万51.43%15.9万373.81%11.5万-45.91%-37.5万-23.60%12.3万-110.22%-3.3万-78.96%10.5万62.83%-4.2万
非持续融资活动现金净额
融资活动现金流净额 82.65%-354.8万191.88%1,047.1万-25.05%-3,328.6万-65.58%-1,118.5万182.72%974.5万-158.99%-2,045万-5,994.12%-1,139.6万-141.66%-2,661.9万74.48%-675.5万-111.05%-1,178.1万
现金净流量
期初现金流 -35.45%2,649.2万-50.36%1,734.7万41.12%3,494.8万279.59%3,043.9万125.43%1,954万362.31%4,104.4万41.12%3,494.8万-61.35%2,476.5万-82.40%801.9万-57.61%866.8万
当期现金流变化 66.41%-722.4万50.02%914.5万-272.85%-1,760.1万-148.62%-1,309.2万1,779.35%1,089.9万-10,140.00%-2,150.4万138.37%609.6万125.90%1,018.3万229.45%2,692.9万-102.58%-64.9万
期末现金流 -1.39%1,926.8万-35.45%2,649.2万-50.36%1,734.7万-50.36%1,734.7万279.59%3,043.9万125.43%1,954万362.31%4,104.4万41.12%3,494.8万41.12%3,494.8万-82.40%801.9万
自由现金流 10.49%285.5万222.24%276.8万1,574.46%542.6万-31.94%101万785.21%97.3万173.85%258.4万-51.98%85.9万-103.37%-36.8万-51.93%148.4万-104.61%-14.2万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----带解释段的无保留意见--------无保留意见----
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