美股市场个股详情

TMP Tompkins Financial

添加自选
  • 60.290
  • +4.200+7.49%
收盘价 10/02 16:00 (美东)
  • 60.290
  • 0.0000.00%
盘后 20:01 (美东)
8.68亿总市值59.69市盈率TTM

Tompkins Financial关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
经营活动现金流量(间接法)
持续经营活动现金净额
24.06%2,728.2万
2.12%2,324.1万
-13.87%8,900.3万
-9.93%1,893.1万
-17.80%2,532.3万
-20.32%2,199.1万
-4.85%2,275.8万
-14.72%1.03亿
-29.53%2,101.7万
-24.61%3,080.6万
持续经营净收入
85.04%1,568.2万
-12.95%1,687.2万
-88.82%950.5万
-23.25%1,500.3万
-256.30%-3,335.4万
-59.39%847.5万
-16.72%1,938.1万
-4.74%8,503万
0.43%1,954.8万
-0.01%2,134万
持续经营损益
-103.57%-25万
-228.17%-23.3万
18,568.98%6,982.2万
-107.49%-3.2万
161,435.90%6,292.1万
17,610.00%700.4万
-373.08%-7.1万
-89.50%37.4万
-75.68%42.7万
-101.45%-3.9万
折旧和摊销
-4.96%268.4万
11.63%308.2万
1.52%1,173.3万
11.97%327.5万
-2.61%287.3万
0.36%282.4万
-3.73%276.1万
-0.09%1,155.7万
1.46%292.5万
0.92%295万
递延税费
----
----
-147.69%-43.4万
----
----
----
----
-49.39%91万
----
----
其他非现金项目
1,153.87%639.7万
350.05%482.6万
-122.66%-1,307.9万
38.93%-283万
-379.32%-771.2万
-141.75%-60.7万
64.62%-193万
34.06%-587.4万
1.57%-463.4万
-62.81%276.1万
营运资金变动
452.31%35.9万
-304.09%-284.7万
146.43%81.2万
167.32%151万
-634.16%-215.8万
107.64%6.5万
48.25%139.5万
-120.33%-174.9万
-397.48%-224.3万
-89.12%40.4万
-应收款项(增)减
-97.49%-102.3万
-301.78%-249.4万
45.24%-124.2万
115.38%42.8万
-806.51%-238.8万
40.53%-51.8万
18.05%123.6万
-124.06%-226.8万
-469.46%-278.2万
-92.00%33.8万
-应付款项及递延费用(减)增
137.05%138.2万
-322.01%-35.3万
295.76%205.4万
100.74%108.2万
248.48%23万
2,815.00%58.3万
250.00%15.9万
162.83%51.9万
53,800.00%53.9万
112.92%6.6万
非持续经营活动现金流
经营活动现金净额
24.06%2,728.2万
2.12%2,324.1万
-13.87%8,900.3万
-9.93%1,893.1万
-17.80%2,532.3万
-20.32%2,199.1万
-4.85%2,275.8万
-14.72%1.03亿
-29.53%2,101.7万
-24.61%3,080.6万
投资活动现金流量
持续投资活动现金净额
-837.93%-8,444.1万
-101.05%-30.4万
-1,632.60%-1.46亿
-237.19%-1.47亿
-266.09%-3,989.1万
112.48%1,144.3万
160.72%2,908.1万
98.55%-844.4万
2,528.89%1.07亿
123.24%2,401.7万
投资产品交易净现金流
-51.92%4,779.8万
5.37%3,729.4万
6.72%2.11亿
-80.29%3,483.5万
-35.25%4,119.4万
359.52%9,941.2万
154.92%3,539.4万
126.02%1.98亿
2,196.45%1.77亿
134.74%6,362.3万
贷款净收益
-47.41%-1.21亿
-1,033.93%-3,649万
-74.63%-3.37亿
-176.66%-1.69亿
-77.42%-8,341.1万
16.30%-8,177.1万
-125.41%-321.8万
-210.19%-1.93亿
-516.67%-6,095.9万
-162.25%-4,701.4万
固定资产交易的净现金流
51.03%-92.8万
13.03%-117.5万
16.73%-661.6万
26.43%-143.1万
-43.74%-193.9万
59.39%-189.5万
-9,106.67%-135.1万
-71.01%-794.5万
-39.53%-194.5万
0.81%-134.9万
其他投资活动的净现金流
-150.38%-1,077.4万
103.84%6.7万
-166.84%-1,347.3万
-73.28%-1,169.1万
-51.30%426.5万
60.67%-430.3万
-144.94%-174.4万
-190.52%-504.9万
-822.98%-674.7万
55.68%875.7万
非持续投资现金净额
投资活动现金流净额
-837.93%-8,444.1万
-101.05%-30.4万
-1,632.60%-1.46亿
-237.19%-1.47亿
-266.09%-3,989.1万
112.48%1,144.3万
160.72%2,908.1万
98.55%-844.4万
2,528.89%1.07亿
123.24%2,401.7万
融资活动现金流量
持续融资活动现金净额
417.27%7,093.3万
23.34%-4,533.8万
173.60%5,900.3万
143.75%6,732.9万
331.53%7,317万
26.96%-2,235.7万
-143.50%-5,913.9万
-158.62%-8,016.6万
49.42%-1.54亿
-130.11%-3,160.3万
为回购而出售的联邦基金和证券
40.87%-769.2万
-201.41%-731.5万
49.74%-528.2万
-646.27%-512.4万
7.07%563.7万
-84.77%-1,300.8万
174.58%721.3万
-1,215.61%-1,050.9万
116.45%93.8万
-74.14%526.5万
存款的增减
-202.01%-1.64亿
153.61%4,996.2万
-7.08%-2.02亿
33.15%-2.23亿
0.92%1.69亿
78.07%-5,418.3万
-141.34%-9,319.2万
-153.25%-1.89亿
-11.67%-3.34亿
-34.12%1.67亿
债务发行/偿还的净现金流
317.68%2.51亿
-322.69%-7,950万
85.77%3.11亿
60.43%3.05亿
53.60%-9,030万
-74.49%6,010万
155.78%3,570万
205.17%1.67亿
1,259.29%1.9亿
-31.55%-1.95亿
普通股发行/偿还的净现金流
100.63%4万
--4.1万
43.45%-872.6万
---2.3万
-78.57%-232.5万
-69.72%-637.8万
--0
35.09%-1,543万
--0
90.13%-130.2万
现金股利支付
0.13%-870万
2.13%-852.6万
-2.82%-3,451.2万
2.53%-847.1万
-4.59%-861.8万
-4.96%-871.1万
-4.52%-871.2万
-3.55%-3,356.5万
-4.02%-869.1万
-3.48%-824万
职工行使股票期权收到的现金
40.68%-10.5万
--0
-298.02%-129.7万
59.65%-87.2万
-56.25%-10万
-580.77%-17.7万
-105.09%-14.8万
121.16%65.5万
5.22%-216.1万
79.49%-6.4万
非持续融资活动现金净额
融资活动现金流净额
417.27%7,093.3万
23.34%-4,533.8万
173.60%5,900.3万
143.75%6,732.9万
331.53%7,317万
26.96%-2,235.7万
-143.50%-5,913.9万
-158.62%-8,016.6万
49.42%-1.54亿
-130.11%-3,160.3万
现金净流量
期初现金流
-18.99%5,714.1万
2.19%7,954.2万
23.34%7,783.7万
35.33%1.4亿
1.52%8,161.4万
-59.71%7,053.7万
23.34%7,783.7万
-83.75%6,310.7万
-68.93%1.04亿
-72.38%8,039.2万
当期现金流变化
24.35%1,377.4万
-206.86%-2,240.1万
-88.42%170.5万
-135.40%-6,067.4万
152.38%5,860.2万
111.70%1,107.7万
-106.52%-730万
104.53%1,473万
90.47%-2,577.5万
-45.33%2,322万
期末现金流
-13.11%7,091.5万
-18.99%5,714.1万
2.19%7,954.2万
2.19%7,954.2万
35.33%1.4亿
1.52%8,161.4万
-59.71%7,053.7万
23.34%7,783.7万
23.34%7,783.7万
-68.93%1.04亿
自由现金流
31.17%2,630.3万
2.34%2,185.2万
-13.59%8,224.1万
-8.19%1,747.7万
-20.53%2,335.9万
-12.25%2,005.3万
-10.63%2,135.2万
-18.26%9,517.2万
-32.96%1,903.7万
-25.59%2,939.2万
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
--
--
无保留意见
--
--
--
--
无保留意见
--
--
(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(Q3)2022/09/30
经营活动现金流量(间接法)
持续经营活动现金净额 24.06%2,728.2万2.12%2,324.1万-13.87%8,900.3万-9.93%1,893.1万-17.80%2,532.3万-20.32%2,199.1万-4.85%2,275.8万-14.72%1.03亿-29.53%2,101.7万-24.61%3,080.6万
持续经营净收入 85.04%1,568.2万-12.95%1,687.2万-88.82%950.5万-23.25%1,500.3万-256.30%-3,335.4万-59.39%847.5万-16.72%1,938.1万-4.74%8,503万0.43%1,954.8万-0.01%2,134万
持续经营损益 -103.57%-25万-228.17%-23.3万18,568.98%6,982.2万-107.49%-3.2万161,435.90%6,292.1万17,610.00%700.4万-373.08%-7.1万-89.50%37.4万-75.68%42.7万-101.45%-3.9万
折旧和摊销 -4.96%268.4万11.63%308.2万1.52%1,173.3万11.97%327.5万-2.61%287.3万0.36%282.4万-3.73%276.1万-0.09%1,155.7万1.46%292.5万0.92%295万
递延税费 ---------147.69%-43.4万-----------------49.39%91万--------
其他非现金项目 1,153.87%639.7万350.05%482.6万-122.66%-1,307.9万38.93%-283万-379.32%-771.2万-141.75%-60.7万64.62%-193万34.06%-587.4万1.57%-463.4万-62.81%276.1万
营运资金变动 452.31%35.9万-304.09%-284.7万146.43%81.2万167.32%151万-634.16%-215.8万107.64%6.5万48.25%139.5万-120.33%-174.9万-397.48%-224.3万-89.12%40.4万
-应收款项(增)减 -97.49%-102.3万-301.78%-249.4万45.24%-124.2万115.38%42.8万-806.51%-238.8万40.53%-51.8万18.05%123.6万-124.06%-226.8万-469.46%-278.2万-92.00%33.8万
-应付款项及递延费用(减)增 137.05%138.2万-322.01%-35.3万295.76%205.4万100.74%108.2万248.48%23万2,815.00%58.3万250.00%15.9万162.83%51.9万53,800.00%53.9万112.92%6.6万
非持续经营活动现金流
经营活动现金净额 24.06%2,728.2万2.12%2,324.1万-13.87%8,900.3万-9.93%1,893.1万-17.80%2,532.3万-20.32%2,199.1万-4.85%2,275.8万-14.72%1.03亿-29.53%2,101.7万-24.61%3,080.6万
投资活动现金流量
持续投资活动现金净额 -837.93%-8,444.1万-101.05%-30.4万-1,632.60%-1.46亿-237.19%-1.47亿-266.09%-3,989.1万112.48%1,144.3万160.72%2,908.1万98.55%-844.4万2,528.89%1.07亿123.24%2,401.7万
投资产品交易净现金流 -51.92%4,779.8万5.37%3,729.4万6.72%2.11亿-80.29%3,483.5万-35.25%4,119.4万359.52%9,941.2万154.92%3,539.4万126.02%1.98亿2,196.45%1.77亿134.74%6,362.3万
贷款净收益 -47.41%-1.21亿-1,033.93%-3,649万-74.63%-3.37亿-176.66%-1.69亿-77.42%-8,341.1万16.30%-8,177.1万-125.41%-321.8万-210.19%-1.93亿-516.67%-6,095.9万-162.25%-4,701.4万
固定资产交易的净现金流 51.03%-92.8万13.03%-117.5万16.73%-661.6万26.43%-143.1万-43.74%-193.9万59.39%-189.5万-9,106.67%-135.1万-71.01%-794.5万-39.53%-194.5万0.81%-134.9万
其他投资活动的净现金流 -150.38%-1,077.4万103.84%6.7万-166.84%-1,347.3万-73.28%-1,169.1万-51.30%426.5万60.67%-430.3万-144.94%-174.4万-190.52%-504.9万-822.98%-674.7万55.68%875.7万
非持续投资现金净额
投资活动现金流净额 -837.93%-8,444.1万-101.05%-30.4万-1,632.60%-1.46亿-237.19%-1.47亿-266.09%-3,989.1万112.48%1,144.3万160.72%2,908.1万98.55%-844.4万2,528.89%1.07亿123.24%2,401.7万
融资活动现金流量
持续融资活动现金净额 417.27%7,093.3万23.34%-4,533.8万173.60%5,900.3万143.75%6,732.9万331.53%7,317万26.96%-2,235.7万-143.50%-5,913.9万-158.62%-8,016.6万49.42%-1.54亿-130.11%-3,160.3万
为回购而出售的联邦基金和证券 40.87%-769.2万-201.41%-731.5万49.74%-528.2万-646.27%-512.4万7.07%563.7万-84.77%-1,300.8万174.58%721.3万-1,215.61%-1,050.9万116.45%93.8万-74.14%526.5万
存款的增减 -202.01%-1.64亿153.61%4,996.2万-7.08%-2.02亿33.15%-2.23亿0.92%1.69亿78.07%-5,418.3万-141.34%-9,319.2万-153.25%-1.89亿-11.67%-3.34亿-34.12%1.67亿
债务发行/偿还的净现金流 317.68%2.51亿-322.69%-7,950万85.77%3.11亿60.43%3.05亿53.60%-9,030万-74.49%6,010万155.78%3,570万205.17%1.67亿1,259.29%1.9亿-31.55%-1.95亿
普通股发行/偿还的净现金流 100.63%4万--4.1万43.45%-872.6万---2.3万-78.57%-232.5万-69.72%-637.8万--035.09%-1,543万--090.13%-130.2万
现金股利支付 0.13%-870万2.13%-852.6万-2.82%-3,451.2万2.53%-847.1万-4.59%-861.8万-4.96%-871.1万-4.52%-871.2万-3.55%-3,356.5万-4.02%-869.1万-3.48%-824万
职工行使股票期权收到的现金 40.68%-10.5万--0-298.02%-129.7万59.65%-87.2万-56.25%-10万-580.77%-17.7万-105.09%-14.8万121.16%65.5万5.22%-216.1万79.49%-6.4万
非持续融资活动现金净额
融资活动现金流净额 417.27%7,093.3万23.34%-4,533.8万173.60%5,900.3万143.75%6,732.9万331.53%7,317万26.96%-2,235.7万-143.50%-5,913.9万-158.62%-8,016.6万49.42%-1.54亿-130.11%-3,160.3万
现金净流量
期初现金流 -18.99%5,714.1万2.19%7,954.2万23.34%7,783.7万35.33%1.4亿1.52%8,161.4万-59.71%7,053.7万23.34%7,783.7万-83.75%6,310.7万-68.93%1.04亿-72.38%8,039.2万
当期现金流变化 24.35%1,377.4万-206.86%-2,240.1万-88.42%170.5万-135.40%-6,067.4万152.38%5,860.2万111.70%1,107.7万-106.52%-730万104.53%1,473万90.47%-2,577.5万-45.33%2,322万
期末现金流 -13.11%7,091.5万-18.99%5,714.1万2.19%7,954.2万2.19%7,954.2万35.33%1.4亿1.52%8,161.4万-59.71%7,053.7万23.34%7,783.7万23.34%7,783.7万-68.93%1.04亿
自由现金流 31.17%2,630.3万2.34%2,185.2万-13.59%8,224.1万-8.19%1,747.7万-20.53%2,335.9万-12.25%2,005.3万-10.63%2,135.2万-18.26%9,517.2万-32.96%1,903.7万-25.59%2,939.2万
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 ----无保留意见--------无保留意见----

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