美股市场个股详情

NODK NI Holdings

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  • 14.920
  • 0.0000.00%
收盘价 07/05 16:00 (美东)
3.08亿总市值62.17市盈率TTM

NI Holdings关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
(Q2)2022/06/30
经营活动现金流(间接法)
持续经营活动现金净额
471.09%1,614.6万
185.46%2,597万
607.90%2,899.1万
71.46%-1,093.7万
25.20%1,226.7万
-213.04%-435.1万
-204.18%-3,038.8万
-129.01%-570.8万
-213.67%-3,832.7万
-10.23%979.8万
持续经营净收入
242.64%641.9万
90.28%-522.6万
627.65%721.1万
102.93%29.8万
82.34%-823.5万
-320.70%-450万
-745.40%-5,377.5万
-83.87%99.1万
-109.28%-1,016.9万
-1,605.78%-4,663.6万
持续经营损益
101.12%13万
-473.74%-1,210.6万
-151.61%-6.4万
-539.76%-53.1万
109.12%9.6万
-957.10%-1,160.7万
88.10%-211万
101.51%12.4万
-108.28%-8.3万
77.60%-105.3万
递延税费
117.64%50.7万
52.62%-188.2万
-7.28%199.9万
-83.05%-10.8万
80.91%-89.9万
-111.32%-287.4万
-203.21%-397.2万
36,033.33%215.6万
96.07%-5.9万
-1,077.25%-470.9万
营运资金变化
150.17%1,237.6万
79.17%2,890万
623.85%1,614.5万
52.47%-1,524.7万
-56.89%2,305.5万
325.48%494.7万
-50.31%1,613万
-119.60%-308.2万
-188.05%-3,207.7万
161.10%5,348.3万
-应收款项(增)减
40.72%-616.3万
14.09%-2,327.9万
-7.80%3,338.8万
138.16%403.9万
1.61%-5,031万
-553.84%-1,039.6万
-75.73%-2,709.6万
-30.91%3,621.2万
33.98%-1,058.3万
-1.37%-5,113.5万
-储备金(增)减
-44.97%788.7万
-47.52%2,666万
-622.53%-2,362.9万
184.55%871万
-44.60%2,724.8万
340.13%1,433.1万
49.79%5,079.7万
111.33%452.2万
-88.76%306.1万
20.49%4,918.2万
-应计投资收入(增)减
-256.86%-16万
-551.47%-30.7万
84.94%-3.9万
-97.18%1万
-95.88%-38万
-38.92%10.2万
117.75%6.8万
16.72%-25.9万
34.60%35.4万
0.51%-19.4万
-应付款项及应计费用(减)增
37.84%-335.5万
-85.01%114.3万
118.98%228.5万
-182.55%-851.6万
-44.18%1,277.1万
-2,585.07%-539.7万
678.97%762.5万
-400.50%-1,203.7万
30.42%-301.4万
140.41%2,287.7万
-未赚保费(减)增
47.72%731.8万
-24.79%1,558.7万
76.29%-139.8万
-2.77%-1,985.2万
-26.62%3,188.3万
99.28%495.4万
145.95%2,072.4万
36.67%-589.6万
21.14%-1,931.6万
13.94%4,345万
-其他流动资产变化
-206.33%-8.4万
-6,766.67%-60万
-275.16%-55万
-109.21%-19.3万
102.81%6.4万
164.23%7.9万
100.25%9,000
162.06%31.4万
4,974.42%209.6万
19.16%-227.8万
-其他营运资本变化
444.19%693.3万
126.94%969.6万
123.47%608.8万
111.87%55.5万
121.13%177.9万
-58.02%127.4万
-429.98%-3,599.7万
-264.62%-2,593.8万
-174.66%-467.5万
42.05%-841.9万
非持续经营活动现金净额
经营活动现金流净额
471.09%1,614.6万
185.46%2,597万
607.90%2,899.1万
71.46%-1,093.7万
25.20%1,226.7万
-213.04%-435.1万
-204.18%-3,038.8万
-129.01%-570.8万
-213.67%-3,832.7万
-10.23%979.8万
投资活动现金流
持续投资活动现金净额
-121.32%-414.3万
-135.18%-881.3万
-205.98%-679.2万
-110.21%-313.6万
-8,167.40%-1,831.3万
257.93%1,942.8万
152.02%2,504.8万
48.36%640.9万
9,379.15%3,071.4万
132.38%22.7万
投资产品交易的现金净流
-120.80%-409.1万
-131.26%-798.6万
-204.86%-683.7万
-109.76%-302.3万
-4,482.02%-1,779.1万
259.17%1,966.5万
153.83%2,554.3万
46.22%652万
16,315.71%3,097.2万
201.25%40.6万
固定资产交易的净现金流
78.06%-5.2万
-67.07%-82.7万
140.54%4.5万
56.20%-11.3万
-191.62%-52.2万
-547.17%-23.7万
28.88%-49.5万
20.14%-11.1万
-84.29%-25.8万
40.33%-17.9万
非持续投资活动现金净额
投资活动现金流净额
-121.32%-414.3万
-135.18%-881.3万
-205.98%-679.2万
-110.21%-313.6万
-8,167.40%-1,831.3万
257.93%1,942.8万
152.02%2,504.8万
48.36%640.9万
9,379.15%3,071.4万
132.38%22.7万
融资活动现金流
持续融资活动现金净额
77.58%-17.8万
59.16%-746.6万
99.85%-1.2万
-255.25%-405.7万
-178.40%-260.3万
90.35%-79.4万
-59.37%-1,828.1万
-621.81%-797.6万
-20.97%-114.2万
44.11%-93.5万
债务发行付款净额
---2.5万
---1.6万
----
----
----
--0
--0
----
----
----
普通股发行/偿还的净现金流
--0
-74.11%-727.8万
100.15%2,000
-332.06%-405.7万
-178.59%-260.2万
37.71%-62.1万
3.15%-418万
-18.55%-131万
0.53%-93.9万
44.11%-93.4万
职工行使股票期权收到的现金
11.56%-15.3万
77.60%-17.2万
--2,000
--0
0.00%-1,000
69.33%-17.3万
-57.38%-76.8万
--0
---20.3万
50.00%-1,000
其他筹资活动现金流
----
----
----
----
----
----
-99.99%-1,333.3万
---666.6万
--0
--0
非持续融资活动现金净额
融资活动现金流净额
77.58%-17.8万
59.16%-746.6万
99.85%-1.2万
-255.25%-405.7万
-178.40%-260.3万
90.35%-79.4万
-59.37%-1,828.1万
-621.81%-797.6万
-20.97%-114.2万
44.11%-93.5万
现金净流量
期初现金流
20.62%5,669.3万
-33.45%4,700.2万
-36.43%3,450.6万
-16.49%5,263.6万
13.61%6,128.5万
-33.45%4,700.2万
-30.13%7,062.3万
13.72%5,427.7万
2.95%6,303.2万
2.39%5,394.2万
当期现金流变化
-17.21%1,182.5万
141.03%969.1万
404.98%2,218.7万
-107.08%-1,813万
-195.15%-864.9万
185.62%1,428.3万
22.44%-2,362.1万
-131.78%-727.5万
35.12%-875.5万
6.44%909万
期末现金流
11.80%6,851.8万
20.62%5,669.3万
20.62%5,669.3万
-36.43%3,450.6万
-16.49%5,263.6万
13.61%6,128.5万
-33.45%4,700.2万
-33.45%4,700.2万
13.72%5,427.7万
2.95%6,303.2万
自由现金流
446.55%1,609.4万
179.23%2,499.6万
598.76%2,901.8万
71.37%-1,105万
21.77%1,167.2万
-241.67%-464.4万
-210.98%-3,155万
-129.84%-581.8万
-212.28%-3,859.5万
-9.69%958.5万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(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(Q3)2022/09/30(Q2)2022/06/30
经营活动现金流(间接法)
持续经营活动现金净额 471.09%1,614.6万185.46%2,597万607.90%2,899.1万71.46%-1,093.7万25.20%1,226.7万-213.04%-435.1万-204.18%-3,038.8万-129.01%-570.8万-213.67%-3,832.7万-10.23%979.8万
持续经营净收入 242.64%641.9万90.28%-522.6万627.65%721.1万102.93%29.8万82.34%-823.5万-320.70%-450万-745.40%-5,377.5万-83.87%99.1万-109.28%-1,016.9万-1,605.78%-4,663.6万
持续经营损益 101.12%13万-473.74%-1,210.6万-151.61%-6.4万-539.76%-53.1万109.12%9.6万-957.10%-1,160.7万88.10%-211万101.51%12.4万-108.28%-8.3万77.60%-105.3万
递延税费 117.64%50.7万52.62%-188.2万-7.28%199.9万-83.05%-10.8万80.91%-89.9万-111.32%-287.4万-203.21%-397.2万36,033.33%215.6万96.07%-5.9万-1,077.25%-470.9万
营运资金变化 150.17%1,237.6万79.17%2,890万623.85%1,614.5万52.47%-1,524.7万-56.89%2,305.5万325.48%494.7万-50.31%1,613万-119.60%-308.2万-188.05%-3,207.7万161.10%5,348.3万
-应收款项(增)减 40.72%-616.3万14.09%-2,327.9万-7.80%3,338.8万138.16%403.9万1.61%-5,031万-553.84%-1,039.6万-75.73%-2,709.6万-30.91%3,621.2万33.98%-1,058.3万-1.37%-5,113.5万
-储备金(增)减 -44.97%788.7万-47.52%2,666万-622.53%-2,362.9万184.55%871万-44.60%2,724.8万340.13%1,433.1万49.79%5,079.7万111.33%452.2万-88.76%306.1万20.49%4,918.2万
-应计投资收入(增)减 -256.86%-16万-551.47%-30.7万84.94%-3.9万-97.18%1万-95.88%-38万-38.92%10.2万117.75%6.8万16.72%-25.9万34.60%35.4万0.51%-19.4万
-应付款项及应计费用(减)增 37.84%-335.5万-85.01%114.3万118.98%228.5万-182.55%-851.6万-44.18%1,277.1万-2,585.07%-539.7万678.97%762.5万-400.50%-1,203.7万30.42%-301.4万140.41%2,287.7万
-未赚保费(减)增 47.72%731.8万-24.79%1,558.7万76.29%-139.8万-2.77%-1,985.2万-26.62%3,188.3万99.28%495.4万145.95%2,072.4万36.67%-589.6万21.14%-1,931.6万13.94%4,345万
-其他流动资产变化 -206.33%-8.4万-6,766.67%-60万-275.16%-55万-109.21%-19.3万102.81%6.4万164.23%7.9万100.25%9,000162.06%31.4万4,974.42%209.6万19.16%-227.8万
-其他营运资本变化 444.19%693.3万126.94%969.6万123.47%608.8万111.87%55.5万121.13%177.9万-58.02%127.4万-429.98%-3,599.7万-264.62%-2,593.8万-174.66%-467.5万42.05%-841.9万
非持续经营活动现金净额
经营活动现金流净额 471.09%1,614.6万185.46%2,597万607.90%2,899.1万71.46%-1,093.7万25.20%1,226.7万-213.04%-435.1万-204.18%-3,038.8万-129.01%-570.8万-213.67%-3,832.7万-10.23%979.8万
投资活动现金流
持续投资活动现金净额 -121.32%-414.3万-135.18%-881.3万-205.98%-679.2万-110.21%-313.6万-8,167.40%-1,831.3万257.93%1,942.8万152.02%2,504.8万48.36%640.9万9,379.15%3,071.4万132.38%22.7万
投资产品交易的现金净流 -120.80%-409.1万-131.26%-798.6万-204.86%-683.7万-109.76%-302.3万-4,482.02%-1,779.1万259.17%1,966.5万153.83%2,554.3万46.22%652万16,315.71%3,097.2万201.25%40.6万
固定资产交易的净现金流 78.06%-5.2万-67.07%-82.7万140.54%4.5万56.20%-11.3万-191.62%-52.2万-547.17%-23.7万28.88%-49.5万20.14%-11.1万-84.29%-25.8万40.33%-17.9万
非持续投资活动现金净额
投资活动现金流净额 -121.32%-414.3万-135.18%-881.3万-205.98%-679.2万-110.21%-313.6万-8,167.40%-1,831.3万257.93%1,942.8万152.02%2,504.8万48.36%640.9万9,379.15%3,071.4万132.38%22.7万
融资活动现金流
持续融资活动现金净额 77.58%-17.8万59.16%-746.6万99.85%-1.2万-255.25%-405.7万-178.40%-260.3万90.35%-79.4万-59.37%-1,828.1万-621.81%-797.6万-20.97%-114.2万44.11%-93.5万
债务发行付款净额 ---2.5万---1.6万--------------0--0------------
普通股发行/偿还的净现金流 --0-74.11%-727.8万100.15%2,000-332.06%-405.7万-178.59%-260.2万37.71%-62.1万3.15%-418万-18.55%-131万0.53%-93.9万44.11%-93.4万
职工行使股票期权收到的现金 11.56%-15.3万77.60%-17.2万--2,000--00.00%-1,00069.33%-17.3万-57.38%-76.8万--0---20.3万50.00%-1,000
其他筹资活动现金流 -------------------------99.99%-1,333.3万---666.6万--0--0
非持续融资活动现金净额
融资活动现金流净额 77.58%-17.8万59.16%-746.6万99.85%-1.2万-255.25%-405.7万-178.40%-260.3万90.35%-79.4万-59.37%-1,828.1万-621.81%-797.6万-20.97%-114.2万44.11%-93.5万
现金净流量
期初现金流 20.62%5,669.3万-33.45%4,700.2万-36.43%3,450.6万-16.49%5,263.6万13.61%6,128.5万-33.45%4,700.2万-30.13%7,062.3万13.72%5,427.7万2.95%6,303.2万2.39%5,394.2万
当期现金流变化 -17.21%1,182.5万141.03%969.1万404.98%2,218.7万-107.08%-1,813万-195.15%-864.9万185.62%1,428.3万22.44%-2,362.1万-131.78%-727.5万35.12%-875.5万6.44%909万
期末现金流 11.80%6,851.8万20.62%5,669.3万20.62%5,669.3万-36.43%3,450.6万-16.49%5,263.6万13.61%6,128.5万-33.45%4,700.2万-33.45%4,700.2万13.72%5,427.7万2.95%6,303.2万
自由现金流 446.55%1,609.4万179.23%2,499.6万598.76%2,901.8万71.37%-1,105万21.77%1,167.2万-241.67%-464.4万-210.98%-3,155万-129.84%-581.8万-212.28%-3,859.5万-9.69%958.5万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --无保留意见--------无保留意见------

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