美股市場個股詳情

HIFS 欣厄姆銀行

添加自選
  • 238.200
  • +2.650+1.13%
收盤價 08/16 16:00 (美東)
  • 238.200
  • 0.0000.00%
盤後 16:02 (美東)
5.19億總市值25.34市盈率TTM

欣厄姆銀行關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-31.16%288.7萬
-13.36%374.9萬
-64.63%1,975.4萬
-62.24%419.4萬
-77.24%432.7萬
-5.35%5,585.4萬
-39.42%1,018.6萬
-1.89%1,554.8萬
-10.61%1,110.7萬
36.58%1,901.3萬
持續經營淨收入
-50.27%410.2萬
-19.29%686.8萬
-29.71%2,637.1萬
158.51%824.9萬
-28.27%851萬
-44.38%3,751.9萬
-28.24%1,196.5萬
-25.07%1,049.9萬
-84.37%319.1萬
-27.44%1,186.4萬
持續經營損益
54.30%-246.3萬
-68.29%-597.1萬
-169.76%-1,519.1萬
-134.81%-539萬
-185.35%-354.8萬
253.82%2,177.7萬
-41.52%-297.9萬
255,950.00%511.7萬
278.30%1,548.2萬
223.46%415.7萬
折舊和攤銷
24.18%19萬
27.33%19.1萬
38.66%68.5萬
28.57%15.3萬
15.38%15萬
-9.02%49.4萬
0.00%12.7萬
-13.87%11.8萬
-14.39%11.9萬
-7.14%13萬
遞延稅費
-164.88%-77.6萬
250.26%273.9萬
170.48%324萬
135.11%119.6萬
184.72%78.2萬
-453.89%-459.7萬
227.91%85.7萬
-22,600.00%-112.5萬
-342.59%-340.6萬
-264.82%-92.3萬
其他非現金項目
1.20%-8.2萬
51.79%-8.1萬
-25.00%-41.5萬
-7.79%-8.3萬
-80.65%-16.8萬
-2.79%-33.2萬
-1.27%-8萬
-3.80%-8.2萬
49.34%-7.7萬
-615.38%-9.3萬
營運資金變動
454.96%164.7萬
97.37%-4.3萬
193.01%357.8萬
93.02%-46.4萬
-162.86%-163.5萬
-1,109.71%-384.7萬
-127.33%-41.4萬
7.79%60.9萬
-357.19%-664.3萬
1,157.32%260.1萬
-應收款項(增)減
472.05%262萬
35.77%-232萬
64.31%-327.6萬
115.11%45.8萬
-75.42%-361.2萬
-5,898.69%-917.8萬
-241.67%-296.1萬
-879.13%-112.6萬
-81.88%-303.2萬
-346.64%-205.9萬
-應付款項及遞延費用(減)增
-5.53%-97.3萬
15.17%227.7萬
28.57%685.4萬
74.47%-92.2萬
-57.58%197.7萬
898.31%533.1萬
542.96%254.7萬
155.15%173.5萬
-1,787.38%-361.1萬
2,067.44%466萬
非持續經營活動現金流
經營活動現金淨額
-31.16%288.7萬
-13.36%374.9萬
-64.63%1,975.4萬
-62.24%419.4萬
-77.24%432.7萬
-5.35%5,585.4萬
-39.42%1,018.6萬
-1.89%1,554.8萬
-10.61%1,110.7萬
36.58%1,901.3萬
投資活動現金流量
持續投資活動現金淨額
104.03%403.2萬
-72.09%-2,745.6萬
59.64%-2.77億
71.12%-1億
91.73%-1,595.4萬
-29.95%-6.85億
57.19%-9,234.7萬
70.07%-5,368.4萬
-169.69%-3.46億
-4,887.39%-1.93億
投資產品交易淨現金流
-248.33%-385.6萬
-375.82%-348.3萬
-142.29%-145.9萬
-120.08%-110.7萬
90.55%-73.2萬
124.15%345萬
382.61%1,205.6萬
89.39%-35.5萬
92.86%-50.3萬
-2,194.05%-774.8萬
貸款淨收益
87.80%-1,096.2萬
-54.67%-2,403.6萬
61.00%-2.59億
73.05%-8,983.7萬
91.33%-1,554萬
-30.75%-6.64億
52.12%-9,574萬
67.78%-5,521.5萬
-170.76%-3.33億
-1,276.06%-1.79億
固定資產交易的淨現金流
-103.05%-2.2萬
92.22%-2.7萬
108.31%21萬
237.26%72.2萬
32.62%-34.7萬
-307.72%-252.8萬
-62.39%-77.3萬
-40.00%-71.4萬
-122.46%-52.6萬
-270.50%-51.5萬
其他投資活動的淨現金流
292.91%1,887.2萬
-86.47%9萬
26.90%-1,659.3萬
17.15%-978.3萬
111.88%66.5萬
-233.55%-2,269.8萬
28.27%-789萬
162.26%260萬
-2,058.68%-1,180.8萬
-162.79%-560萬
非持續投資現金淨額
投資活動現金流淨額
104.03%403.2萬
-72.09%-2,745.6萬
59.64%-2.77億
71.12%-1億
91.73%-1,595.4萬
-29.95%-6.85億
57.19%-9,234.7萬
70.07%-5,368.4萬
-169.69%-3.46億
-4,887.39%-1.93億
融資活動現金流量
持續融資活動現金淨額
-111.31%-1,102.4萬
1,594.99%3,447.6萬
-64.28%2.57億
-72.09%9,745.5萬
-98.98%203.4萬
42.49%7.2億
-53.30%1.17億
-69.23%5,427.1萬
223.87%3.49億
775.50%2億
存款的增減
123.79%2,534.3萬
186.58%4,294.4萬
-238.15%-1.55億
-245.87%-1.07億
638.91%1,498.5萬
-55.68%1.12億
-254.72%-8,322.7萬
65.90%1.21億
4.28%7,302.8萬
-98.49%202.8萬
債務發行/償還的淨現金流
-117.56%-3,600萬
27.27%-800萬
-31.80%4.17億
-25.45%2.05億
-105.50%-1,100萬
137.77%6.11億
-26.91%2.01億
-162.26%-6,500萬
597.97%2.75億
223.59%2億
現金股利支付
-1.48%-137.4萬
50.49%-136.2萬
-2.87%-677.1萬
-10.71%-135.4萬
1.22%-275.1萬
-13.91%-658.2萬
-15.14%-130.8萬
-15.83%-126.6萬
-16.70%-122.3萬
-11.36%-278.5萬
職工行使股票期權收到的現金
--0
--126.6萬
236.71%106.4萬
22.41%21.3萬
--0
35.62%31.6萬
--14.2萬
--0
11.54%17.4萬
--0
其他融資活動的淨現金流額
705.60%100.7萬
-146.50%-37.2萬
-48.44%161.9萬
-94.26%12.5萬
72.79%80萬
660.29%314萬
11.80%55.9萬
-116.02%-5.8萬
397.67%217.6萬
64.18%46.3萬
非持續融資活動現金淨額
融資活動現金流淨額
-111.31%-1,102.4萬
1,594.99%3,447.6萬
-64.28%2.57億
-72.09%9,745.5萬
-98.98%203.4萬
42.49%7.2億
-53.30%1.17億
-69.23%5,427.1萬
223.87%3.49億
775.50%2億
現金淨流量
期初現金流
5.90%3.73億
0.12%3.62億
33.51%3.62億
18.72%3.52億
33.51%3.62億
15.89%2.71億
49.22%3.27億
50.68%3.11億
38.42%2.97億
15.89%2.71億
當期現金流變化
-349.70%-410.5萬
212.26%1,076.9萬
-99.51%44.4萬
-88.28%164.4萬
-137.32%-959.3萬
144.44%9,087.2萬
-32.69%3,500.5萬
25.77%1,613.5萬
272.11%1,402.5萬
231.74%2,570.7萬
期末現金流
4.25%3.69億
5.90%3.73億
0.12%3.62億
13.89%3.54億
18.72%3.52億
33.51%3.62億
33.51%3.62億
49.22%3.27億
50.68%3.11億
38.42%2.97億
自由現金流
-36.91%286.5萬
-6.48%372.2萬
-65.39%1,845.5萬
-57.08%454.1萬
-78.48%398萬
-7.11%5,332.6萬
-42.39%941.3萬
-3.28%1,483.4萬
-11.46%1,058.1萬
34.22%1,849.8萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
--
帶解釋段的無保留意見
--
--
--
--
--
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -31.16%288.7萬-13.36%374.9萬-64.63%1,975.4萬-62.24%419.4萬-77.24%432.7萬-5.35%5,585.4萬-39.42%1,018.6萬-1.89%1,554.8萬-10.61%1,110.7萬36.58%1,901.3萬
持續經營淨收入 -50.27%410.2萬-19.29%686.8萬-29.71%2,637.1萬158.51%824.9萬-28.27%851萬-44.38%3,751.9萬-28.24%1,196.5萬-25.07%1,049.9萬-84.37%319.1萬-27.44%1,186.4萬
持續經營損益 54.30%-246.3萬-68.29%-597.1萬-169.76%-1,519.1萬-134.81%-539萬-185.35%-354.8萬253.82%2,177.7萬-41.52%-297.9萬255,950.00%511.7萬278.30%1,548.2萬223.46%415.7萬
折舊和攤銷 24.18%19萬27.33%19.1萬38.66%68.5萬28.57%15.3萬15.38%15萬-9.02%49.4萬0.00%12.7萬-13.87%11.8萬-14.39%11.9萬-7.14%13萬
遞延稅費 -164.88%-77.6萬250.26%273.9萬170.48%324萬135.11%119.6萬184.72%78.2萬-453.89%-459.7萬227.91%85.7萬-22,600.00%-112.5萬-342.59%-340.6萬-264.82%-92.3萬
其他非現金項目 1.20%-8.2萬51.79%-8.1萬-25.00%-41.5萬-7.79%-8.3萬-80.65%-16.8萬-2.79%-33.2萬-1.27%-8萬-3.80%-8.2萬49.34%-7.7萬-615.38%-9.3萬
營運資金變動 454.96%164.7萬97.37%-4.3萬193.01%357.8萬93.02%-46.4萬-162.86%-163.5萬-1,109.71%-384.7萬-127.33%-41.4萬7.79%60.9萬-357.19%-664.3萬1,157.32%260.1萬
-應收款項(增)減 472.05%262萬35.77%-232萬64.31%-327.6萬115.11%45.8萬-75.42%-361.2萬-5,898.69%-917.8萬-241.67%-296.1萬-879.13%-112.6萬-81.88%-303.2萬-346.64%-205.9萬
-應付款項及遞延費用(減)增 -5.53%-97.3萬15.17%227.7萬28.57%685.4萬74.47%-92.2萬-57.58%197.7萬898.31%533.1萬542.96%254.7萬155.15%173.5萬-1,787.38%-361.1萬2,067.44%466萬
非持續經營活動現金流
經營活動現金淨額 -31.16%288.7萬-13.36%374.9萬-64.63%1,975.4萬-62.24%419.4萬-77.24%432.7萬-5.35%5,585.4萬-39.42%1,018.6萬-1.89%1,554.8萬-10.61%1,110.7萬36.58%1,901.3萬
投資活動現金流量
持續投資活動現金淨額 104.03%403.2萬-72.09%-2,745.6萬59.64%-2.77億71.12%-1億91.73%-1,595.4萬-29.95%-6.85億57.19%-9,234.7萬70.07%-5,368.4萬-169.69%-3.46億-4,887.39%-1.93億
投資產品交易淨現金流 -248.33%-385.6萬-375.82%-348.3萬-142.29%-145.9萬-120.08%-110.7萬90.55%-73.2萬124.15%345萬382.61%1,205.6萬89.39%-35.5萬92.86%-50.3萬-2,194.05%-774.8萬
貸款淨收益 87.80%-1,096.2萬-54.67%-2,403.6萬61.00%-2.59億73.05%-8,983.7萬91.33%-1,554萬-30.75%-6.64億52.12%-9,574萬67.78%-5,521.5萬-170.76%-3.33億-1,276.06%-1.79億
固定資產交易的淨現金流 -103.05%-2.2萬92.22%-2.7萬108.31%21萬237.26%72.2萬32.62%-34.7萬-307.72%-252.8萬-62.39%-77.3萬-40.00%-71.4萬-122.46%-52.6萬-270.50%-51.5萬
其他投資活動的淨現金流 292.91%1,887.2萬-86.47%9萬26.90%-1,659.3萬17.15%-978.3萬111.88%66.5萬-233.55%-2,269.8萬28.27%-789萬162.26%260萬-2,058.68%-1,180.8萬-162.79%-560萬
非持續投資現金淨額
投資活動現金流淨額 104.03%403.2萬-72.09%-2,745.6萬59.64%-2.77億71.12%-1億91.73%-1,595.4萬-29.95%-6.85億57.19%-9,234.7萬70.07%-5,368.4萬-169.69%-3.46億-4,887.39%-1.93億
融資活動現金流量
持續融資活動現金淨額 -111.31%-1,102.4萬1,594.99%3,447.6萬-64.28%2.57億-72.09%9,745.5萬-98.98%203.4萬42.49%7.2億-53.30%1.17億-69.23%5,427.1萬223.87%3.49億775.50%2億
存款的增減 123.79%2,534.3萬186.58%4,294.4萬-238.15%-1.55億-245.87%-1.07億638.91%1,498.5萬-55.68%1.12億-254.72%-8,322.7萬65.90%1.21億4.28%7,302.8萬-98.49%202.8萬
債務發行/償還的淨現金流 -117.56%-3,600萬27.27%-800萬-31.80%4.17億-25.45%2.05億-105.50%-1,100萬137.77%6.11億-26.91%2.01億-162.26%-6,500萬597.97%2.75億223.59%2億
現金股利支付 -1.48%-137.4萬50.49%-136.2萬-2.87%-677.1萬-10.71%-135.4萬1.22%-275.1萬-13.91%-658.2萬-15.14%-130.8萬-15.83%-126.6萬-16.70%-122.3萬-11.36%-278.5萬
職工行使股票期權收到的現金 --0--126.6萬236.71%106.4萬22.41%21.3萬--035.62%31.6萬--14.2萬--011.54%17.4萬--0
其他融資活動的淨現金流額 705.60%100.7萬-146.50%-37.2萬-48.44%161.9萬-94.26%12.5萬72.79%80萬660.29%314萬11.80%55.9萬-116.02%-5.8萬397.67%217.6萬64.18%46.3萬
非持續融資活動現金淨額
融資活動現金流淨額 -111.31%-1,102.4萬1,594.99%3,447.6萬-64.28%2.57億-72.09%9,745.5萬-98.98%203.4萬42.49%7.2億-53.30%1.17億-69.23%5,427.1萬223.87%3.49億775.50%2億
現金淨流量
期初現金流 5.90%3.73億0.12%3.62億33.51%3.62億18.72%3.52億33.51%3.62億15.89%2.71億49.22%3.27億50.68%3.11億38.42%2.97億15.89%2.71億
當期現金流變化 -349.70%-410.5萬212.26%1,076.9萬-99.51%44.4萬-88.28%164.4萬-137.32%-959.3萬144.44%9,087.2萬-32.69%3,500.5萬25.77%1,613.5萬272.11%1,402.5萬231.74%2,570.7萬
期末現金流 4.25%3.69億5.90%3.73億0.12%3.62億13.89%3.54億18.72%3.52億33.51%3.62億33.51%3.62億49.22%3.27億50.68%3.11億38.42%2.97億
自由現金流 -36.91%286.5萬-6.48%372.2萬-65.39%1,845.5萬-57.08%454.1萬-78.48%398萬-7.11%5,332.6萬-42.39%941.3萬-3.28%1,483.4萬-11.46%1,058.1萬34.22%1,849.8萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
審計意見 ----帶解釋段的無保留意見--------------

分析

分析師評級

暫無數據

目標價預測

暫無數據

熱議
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