美股市场个股详情

PEBC PEOPLES BANCORP INC

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  • 31.300
  • 0.0000.00%
延时15分钟行情收盘价 07/19 09:30 (美东)
2281.51万总市值-11178市盈率TTM

PEOPLES BANCORP INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2012/03/31
(FY)2011/12/31
(Q4)2011/12/31
(Q3)2011/09/30
(Q2)2011/06/30
(Q1)2011/03/31
(FY)2010/12/31
(Q4)2010/12/31
(Q3)2010/09/30
(Q2)2010/06/30
经营活动现金流量(间接法)
持续经营活动现金净额
13.36%123.91万
0.97%435.89万
-27.69%103.39万
14.24%102.36万
74.38%120.84万
-15.82%109.31万
11.78%431.72万
1,029.90%142.97万
-36.72%89.6万
114.98%69.29万
持续经营净收入
-64.51%-48.96万
-432.02%-198.73万
-22.53%-121.92万
-249.31%-43.04万
41.03%-4.01万
-174.17%-29.76万
-119.76%-37.35万
-351.85%-99.5万
-38.62%28.82万
-117.82%-6.81万
持续经营损益
-121.85%-3,791
-19.97%4.28万
64.22%-1.83万
--4.25万
--1,296
--1.74万
242.28%5.35万
-213.54%-5.11万
--0
----
折旧和摊销
-17.81%7.99万
-6.00%39.68万
31.15%14.12万
-40.78%6.43万
-10.52%9.4万
-3.49%9.72万
0.85%42.21万
-2.02%10.77万
0.67%10.86万
2.25%10.51万
递延税费
--0
176.45%90.6万
176.42%90.6万
--0
--0
--0
-204.89%-118.52万
-205.00%-118.56万
--0
--0
其他非现金项目
----
519.00%30.95万
--3.5万
----
----
----
--5万
--0
----
----
营运资金变动
84.08%-3.75万
-562.03%-190.57万
-340.90%-149.75万
-869.19%-38.91万
145.10%21.64万
-175.77%-23.55万
118.52%41.25万
170.68%62.16万
-108.46%-4.02万
10.35%-47.98万
-应收款项(增)减
-5.70%32.83万
204.91%27.27万
61.94%-4.56万
-116.93%-1.15万
54.08%-1.84万
91.86%34.81万
-32.51%8.94万
-131.89%-11.98万
111.73%6.77万
-112.30%-4万
-预付费用(增)减
----
--0
----
----
----
----
-128.38%-16.17万
----
----
----
-应付款项及递延费用(减)增
174.27%8.28万
-545.68%-15.92万
-32.34%6.69万
-93.31%-19.28万
-2.55%7.81万
-7.16%-11.15万
-917.84%-2.47万
124.50%9.89万
-124.73%-9.97万
785.09%8.01万
-其他流动资产变化
-11.23%-46.54万
-465.27%-185.86万
-260.36%-135.19万
-341.29%-37.17万
166.68%28.34万
-339.03%-41.84万
190.88%50.88万
158.04%84.3万
-110.37%-8.42万
55.38%-42.5万
-其他流动负债变化
131.30%1.68万
-28,588.30%-16.07万
-329.59%-16.7万
145.53%18.68万
-33.55%-12.68万
-192.24%-5.37万
-98.84%564
-223.46%-3.89万
146.48%7.61万
-213.71%-9.49万
非持续经营活动现金流
经营活动现金净额
13.36%123.91万
0.97%435.89万
-27.69%103.39万
14.24%102.36万
74.38%120.84万
-15.82%109.31万
11.78%431.72万
1,029.90%142.97万
-36.72%89.6万
114.98%69.29万
投资活动现金流量
持续投资活动现金净额
194.68%521.59万
269.14%1,141.84万
184.04%160.21万
1,969.28%404.13万
526.64%400.5万
133.60%177万
-169.43%-675.09万
-171.71%-190.64万
-243.16%-21.62万
-69.12%63.91万
投资产品交易净现金流
-22.63%86.25万
58.40%242.19万
-769.92%-174.03万
5,172.34%90.84万
-49.68%213.91万
144.53%111.48万
55.34%152.9万
-119.37%-20.01万
98.22%-1.79万
3,471.86%425.06万
贷款净收益
520.10%436.08万
181.50%710.94万
179.03%173.6万
1,194.88%301.27万
146.60%165.75万
126.10%70.32万
-200.34%-872.29万
-228.34%-219.65万
-135.66%-27.52万
-254.13%-355.7万
固定资产交易的净现金流
84.49%-7,449
39.37%-14.25万
-80.82%-3.63万
83.50%-1.5万
20.79%-4.32万
30.92%-4.8万
34.63%-23.5万
62.29%-2.01万
-188.12%-9.09万
75.28%-5.45万
其他投资活动的净现金流
----
120.43%55.02万
99.51%16.32万
--13.53万
----
----
-42.14%24.96万
349.39%8.18万
----
----
非持续投资现金净额
投资活动现金流净额
194.68%521.59万
269.14%1,141.84万
184.04%160.21万
1,969.28%404.13万
526.64%400.5万
133.60%177万
-169.43%-675.09万
-171.71%-190.64万
-243.16%-21.62万
-69.12%63.91万
融资活动现金流量
持续融资活动现金净额
-129.06%-96.79万
203.09%945.99万
3,914.91%529.11万
141.68%25.88万
6,220.90%57.96万
139.61%333.04万
-629.94%-917.63万
-102.50%-13.87万
-5.61%-62.09万
99.75%-9,469
为回购而出售的联邦基金和证券
-75.27%-100.72万
199.73%16.26万
-56.54%24.4万
139.30%21.67万
-75.37%27.65万
55.65%-57.47万
99.33%-16.3万
103.91%56.15万
80.27%-55.14万
116.51%112.27万
存款的增减
-82.90%103.93万
475.45%1,355.45万
1,830.86%604.71万
-54.32%104.21万
149.76%38.88万
227.64%607.66万
-113.12%-361.02万
-103.40%-34.94万
-50.64%228.12万
-107.46%-78.14万
债务发行/偿还的净现金流
50.00%-100万
0.00%-400万
---100万
50.00%-100万
--0
0.00%-200万
-2,209.26%-400万
--0
3.13%-200万
--0
现金股利支付
--0
81.67%-25.72万
100.00%1
--0
75.56%-8.57万
51.11%-17.15万
-0.56%-140.31万
-0.00%-35.08万
0.00%-35.08万
0.00%-35.08万
非持续融资活动现金净额
融资活动现金流净额
-129.06%-96.79万
203.09%945.99万
3,914.91%529.11万
141.68%25.88万
6,220.90%57.96万
139.61%333.04万
-629.94%-917.63万
-102.50%-13.87万
-5.61%-62.09万
99.75%-9,469
现金净流量
期初现金流
221.49%3,663.17万
-50.47%1,139.45万
139.01%2,870.47万
95.64%2,338.1万
65.48%1,758.8万
-50.47%1,139.45万
199.27%2,300.46万
-19.71%1,200.98万
-15.79%1,195.09万
-31.70%1,062.83万
当期现金流变化
-11.41%548.71万
317.37%2,523.72万
1,388.27%792.7万
8,936.91%532.37万
338.00%579.3万
150.04%619.35万
-175.79%-1,161.01万
-107.65%-61.53万
-92.30%5.89万
196.65%132.26万
期末现金流
139.47%4,211.88万
221.49%3,663.17万
221.49%3,663.17万
139.01%2,870.47万
95.64%2,338.1万
65.48%1,758.8万
-50.47%1,139.45万
-50.47%1,139.45万
-19.71%1,200.98万
-15.79%1,195.09万
自由现金流
17.85%123.16万
3.29%421.64万
-29.23%99.76万
25.28%100.86万
82.51%116.52万
-14.96%104.51万
16.54%408.22万
781.18%140.97万
-41.84%80.51万
526.94%63.84万
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)2012/03/31(FY)2011/12/31(Q4)2011/12/31(Q3)2011/09/30(Q2)2011/06/30(Q1)2011/03/31(FY)2010/12/31(Q4)2010/12/31(Q3)2010/09/30(Q2)2010/06/30
经营活动现金流量(间接法)
持续经营活动现金净额 13.36%123.91万0.97%435.89万-27.69%103.39万14.24%102.36万74.38%120.84万-15.82%109.31万11.78%431.72万1,029.90%142.97万-36.72%89.6万114.98%69.29万
持续经营净收入 -64.51%-48.96万-432.02%-198.73万-22.53%-121.92万-249.31%-43.04万41.03%-4.01万-174.17%-29.76万-119.76%-37.35万-351.85%-99.5万-38.62%28.82万-117.82%-6.81万
持续经营损益 -121.85%-3,791-19.97%4.28万64.22%-1.83万--4.25万--1,296--1.74万242.28%5.35万-213.54%-5.11万--0----
折旧和摊销 -17.81%7.99万-6.00%39.68万31.15%14.12万-40.78%6.43万-10.52%9.4万-3.49%9.72万0.85%42.21万-2.02%10.77万0.67%10.86万2.25%10.51万
递延税费 --0176.45%90.6万176.42%90.6万--0--0--0-204.89%-118.52万-205.00%-118.56万--0--0
其他非现金项目 ----519.00%30.95万--3.5万--------------5万--0--------
营运资金变动 84.08%-3.75万-562.03%-190.57万-340.90%-149.75万-869.19%-38.91万145.10%21.64万-175.77%-23.55万118.52%41.25万170.68%62.16万-108.46%-4.02万10.35%-47.98万
-应收款项(增)减 -5.70%32.83万204.91%27.27万61.94%-4.56万-116.93%-1.15万54.08%-1.84万91.86%34.81万-32.51%8.94万-131.89%-11.98万111.73%6.77万-112.30%-4万
-预付费用(增)减 ------0-----------------128.38%-16.17万------------
-应付款项及递延费用(减)增 174.27%8.28万-545.68%-15.92万-32.34%6.69万-93.31%-19.28万-2.55%7.81万-7.16%-11.15万-917.84%-2.47万124.50%9.89万-124.73%-9.97万785.09%8.01万
-其他流动资产变化 -11.23%-46.54万-465.27%-185.86万-260.36%-135.19万-341.29%-37.17万166.68%28.34万-339.03%-41.84万190.88%50.88万158.04%84.3万-110.37%-8.42万55.38%-42.5万
-其他流动负债变化 131.30%1.68万-28,588.30%-16.07万-329.59%-16.7万145.53%18.68万-33.55%-12.68万-192.24%-5.37万-98.84%564-223.46%-3.89万146.48%7.61万-213.71%-9.49万
非持续经营活动现金流
经营活动现金净额 13.36%123.91万0.97%435.89万-27.69%103.39万14.24%102.36万74.38%120.84万-15.82%109.31万11.78%431.72万1,029.90%142.97万-36.72%89.6万114.98%69.29万
投资活动现金流量
持续投资活动现金净额 194.68%521.59万269.14%1,141.84万184.04%160.21万1,969.28%404.13万526.64%400.5万133.60%177万-169.43%-675.09万-171.71%-190.64万-243.16%-21.62万-69.12%63.91万
投资产品交易净现金流 -22.63%86.25万58.40%242.19万-769.92%-174.03万5,172.34%90.84万-49.68%213.91万144.53%111.48万55.34%152.9万-119.37%-20.01万98.22%-1.79万3,471.86%425.06万
贷款净收益 520.10%436.08万181.50%710.94万179.03%173.6万1,194.88%301.27万146.60%165.75万126.10%70.32万-200.34%-872.29万-228.34%-219.65万-135.66%-27.52万-254.13%-355.7万
固定资产交易的净现金流 84.49%-7,44939.37%-14.25万-80.82%-3.63万83.50%-1.5万20.79%-4.32万30.92%-4.8万34.63%-23.5万62.29%-2.01万-188.12%-9.09万75.28%-5.45万
其他投资活动的净现金流 ----120.43%55.02万99.51%16.32万--13.53万---------42.14%24.96万349.39%8.18万--------
非持续投资现金净额
投资活动现金流净额 194.68%521.59万269.14%1,141.84万184.04%160.21万1,969.28%404.13万526.64%400.5万133.60%177万-169.43%-675.09万-171.71%-190.64万-243.16%-21.62万-69.12%63.91万
融资活动现金流量
持续融资活动现金净额 -129.06%-96.79万203.09%945.99万3,914.91%529.11万141.68%25.88万6,220.90%57.96万139.61%333.04万-629.94%-917.63万-102.50%-13.87万-5.61%-62.09万99.75%-9,469
为回购而出售的联邦基金和证券 -75.27%-100.72万199.73%16.26万-56.54%24.4万139.30%21.67万-75.37%27.65万55.65%-57.47万99.33%-16.3万103.91%56.15万80.27%-55.14万116.51%112.27万
存款的增减 -82.90%103.93万475.45%1,355.45万1,830.86%604.71万-54.32%104.21万149.76%38.88万227.64%607.66万-113.12%-361.02万-103.40%-34.94万-50.64%228.12万-107.46%-78.14万
债务发行/偿还的净现金流 50.00%-100万0.00%-400万---100万50.00%-100万--00.00%-200万-2,209.26%-400万--03.13%-200万--0
现金股利支付 --081.67%-25.72万100.00%1--075.56%-8.57万51.11%-17.15万-0.56%-140.31万-0.00%-35.08万0.00%-35.08万0.00%-35.08万
非持续融资活动现金净额
融资活动现金流净额 -129.06%-96.79万203.09%945.99万3,914.91%529.11万141.68%25.88万6,220.90%57.96万139.61%333.04万-629.94%-917.63万-102.50%-13.87万-5.61%-62.09万99.75%-9,469
现金净流量
期初现金流 221.49%3,663.17万-50.47%1,139.45万139.01%2,870.47万95.64%2,338.1万65.48%1,758.8万-50.47%1,139.45万199.27%2,300.46万-19.71%1,200.98万-15.79%1,195.09万-31.70%1,062.83万
当期现金流变化 -11.41%548.71万317.37%2,523.72万1,388.27%792.7万8,936.91%532.37万338.00%579.3万150.04%619.35万-175.79%-1,161.01万-107.65%-61.53万-92.30%5.89万196.65%132.26万
期末现金流 139.47%4,211.88万221.49%3,663.17万221.49%3,663.17万139.01%2,870.47万95.64%2,338.1万65.48%1,758.8万-50.47%1,139.45万-50.47%1,139.45万-19.71%1,200.98万-15.79%1,195.09万
自由现金流 17.85%123.16万3.29%421.64万-29.23%99.76万25.28%100.86万82.51%116.52万-14.96%104.51万16.54%408.22万781.18%140.97万-41.84%80.51万526.94%63.84万
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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