美股市場個股詳情

SHG 新韓金融

添加自選
  • 40.260
  • +0.950+2.42%
收盤價 11/27 16:00 (美東)
  • 40.000
  • -0.260-0.65%
盤後 20:01 (美東)
205.08億總市值6.42市盈率TTM

新韓金融關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(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
經營活動現金流量(間接法)
持續經營活動現金淨額
210.70%6.78萬億
-118.62%-1.42萬億
-132.94%-1.24萬億
-92.63%5,298.46億
-428.00%-4.76萬億
-283.62%-6.13萬億
757.87%7.65萬億
148.81%3.76萬億
71.16%7.19萬億
125.23%1.45萬億
持續經營淨收入
8.75%1.33萬億
14.36%1.45萬億
-4.70%1.35萬億
-5.84%4.48萬億
49.32%5,760.52億
79.22%1.22萬億
-28.72%1.27萬億
-25.94%1.41萬億
15.63%4.76萬億
147.86%3,857.9億
持續經營損益
906.75%1,181.73億
-1,298.65%-3,057.02億
20.95%-6,843.97億
-254.41%-1.6萬億
-207.68%-7,003.17億
96.45%-146.48億
-103.71%-218.57億
-510.71%-8,657.97億
239.25%1.04萬億
623.82%6,503.47億
折舊和攤銷
11.01%3,322.41億
5.03%3,089.11億
9.08%3,062.4億
18.54%1.19萬億
14.92%3,108.4億
19.62%2,992.97億
20.32%2,941.15億
19.69%2,807.54億
10.74%9,996.82億
8.39%2,704.76億
遞延稅費
18.40%4,399.19億
-8.52%4,204.53億
0.06%4,426.76億
-7.71%1.49萬億
153.02%2,133.47億
--3,715.57億
--4,596.36億
--4,424.2億
9.52%1.61萬億
--843.2億
其他非現金項目
-1.68%-2.94萬億
-1.32%-2.71萬億
-8.23%-2.52萬億
5.87%-10.05萬億
14.85%-2.16萬億
14.73%-2.89萬億
-7.30%-2.68萬億
-2.95%-2.32萬億
-27.32%-10.68萬億
-18.82%-2.53萬億
營運資金變動
140.56%3.49萬億
-192.76%-4.57萬億
-507.82%-3.54萬億
-243.53%-8.82萬億
-549.71%-6萬億
-576.88%-8.61萬億
343.34%4.92萬億
160.79%8,680.17億
22.04%-2.57萬億
87.25%-9,233.79億
-貸款(增)減
-65.07%-10.39萬億
-869.91%-12.67萬億
-301.96%-8.42萬億
79.68%-5.03萬億
67.39%-1.6萬億
-26.55%-6.3萬億
86.86%-1.31萬億
184.41%4.17萬億
12.80%-24.77萬億
50.97%-4.9萬億
-其他流動資產變化
152.97%1.91萬億
-547.87%-2.97萬億
-11.09%-6.5萬億
-207.33%-6.39萬億
69.41%3.53萬億
-149.68%-3.61萬億
90.69%-4,582.32億
10.19%-5.85萬億
69.94%-2.08萬億
242.60%2.08萬億
-其他流動負債變化
-94.01%3,452.05億
243.48%3.65萬億
-82.39%2.03萬億
653.38%13.48萬億
86.13%-1.28萬億
223.63%5.76萬億
-186.18%-2.54萬億
-9.30%11.54萬億
139.85%1.79萬億
5.39%-9.23萬億
-其他營運資本變化
360.69%11.63萬億
-19.54%7.43萬億
203.96%9.35萬億
-148.36%-10.87萬億
-159.75%-6.65萬億
-207.09%-4.46萬億
-6.73%9.23萬億
-233.28%-8.99萬億
-38.41%22.49萬億
-20.38%11.13萬億
非持續經營活動現金流
經營活動現金淨額
210.70%6.78萬億
-118.62%-1.42萬億
-132.94%-1.24萬億
-92.63%5,298.46億
-428.00%-4.76萬億
-283.62%-6.13萬億
757.87%7.65萬億
148.81%3.76萬億
71.16%7.19萬億
125.23%1.45萬億
投資活動現金流量
持續投資活動現金淨額
91.27%-1,910.85億
88.31%-1,471.62億
239.74%1.22萬億
60.06%-4.27萬億
16.31%-1.18萬億
-56.55%-2.19萬億
49.17%-1.26萬億
106.66%3,600.35億
11.09%-10.7萬億
62.41%-1.42萬億
投資產品交易淨現金流
97.19%-605.99億
107.82%825.59億
209.88%1.39萬億
64.09%-3.76萬億
41.41%-9,976.88億
-99.83%-2.16萬億
58.13%-1.06萬億
108.65%4,476.44億
4.69%-10.48萬億
49.81%-1.7萬億
固定資產交易的淨現金流
-6.27%-674.85億
24.10%-492.62億
-29.11%-414.62億
-5.26%-2,452.85億
30.41%-847.7億
-0.11%-635.02億
-4,943.28%-649億
34.63%-321.13億
25.98%-2,330.35億
15.14%-1,218.21億
無形資產交易的淨現金流
32.46%-1,109.69億
-155.25%-1,637.82億
-25.77%-1,343.21億
27.59%-4,297.65億
43.40%-944.88億
-33.88%-1,643.08億
51.92%-641.66億
37.33%-1,068.03億
-10.02%-5,935.41億
7.66%-1,669.39億
業務交易的淨現金流
----
----
----
--0
----
----
----
----
---278.4億
--0
其他投資活動的淨現金流
-75.38%488.65億
83.74%-158.02億
107.84%70.11億
-98.54%56.22億
-101.14%-62.98億
252.59%1,984.98億
-283.54%-971.96億
-896.12%-893.82億
323.30%3,859.68億
1,266.83%5,503.7億
非持續投資現金淨額
投資活動現金流淨額
91.27%-1,910.85億
88.31%-1,471.62億
239.74%1.22萬億
60.06%-4.27萬億
16.31%-1.18萬億
-56.55%-2.19萬億
49.17%-1.26萬億
106.66%3,600.35億
11.09%-10.7萬億
62.41%-1.42萬億
融資活動現金流量
持續融資活動現金淨額
-64.20%2.47萬億
137.23%1.36萬億
-63.82%3,018.96億
187.51%9.76萬億
179.63%5.68萬億
56.82%6.89萬億
-216.42%-3.65萬億
-72.16%8,343.19億
-31.58%3.39萬億
-356.62%-7.13萬億
債務發行/償還的淨現金流
-73.31%2.1萬億
119.05%4,733.52億
1,780.22%2.27萬億
223.93%11.76萬億
186.62%6.24萬億
98.27%7.88萬億
-156.81%-2.48萬億
-95.12%1,208.27億
-27.29%3.63萬億
-343.38%-7.2萬億
普通股發行/償還的淨現金流
-50.04%-1,500.76億
-0.27%-1,497.57億
-9.81%-1,500.53億
-61.98%-4,860.28億
33.35%-1,000.01億
---1,000.23億
-31.86%-1,493.57億
-271.72%-1,366.47億
-1,376.36%-3,000.6億
---1,500.31億
現金股利支付
3.44%-3,118.09億
22.97%-5,874.57億
28.58%-418.09億
5.16%-1.46萬億
-26.27%-3,172.81億
-25.72%-3,229.32億
21.97%-7,626.19億
-5.81%-585.39億
-26.43%-1.54萬億
-50.36%-2,512.81億
其他融資活動的淨現金流額
245.76%8,260.91億
744.20%1.62萬億
-295.68%-1.78萬億
-103.05%-490.49億
-129.75%-1,391.58億
-183.74%-5,667.37億
-69.23%-2,518.32億
48.82%9,086.78億
37.85%1.61萬億
4,221.15%4,677.09億
非持續融資活動現金淨額
融資活動現金流淨額
-64.20%2.47萬億
137.23%1.36萬億
-63.82%3,018.96億
187.51%9.76萬億
179.63%5.68萬億
56.82%6.89萬億
-216.42%-3.65萬億
-72.16%8,343.19億
-31.58%3.39萬億
-356.62%-7.13萬億
現金淨流量
期初現金流
-4.88%30.59萬億
4.51%30.75萬億
24.59%30.42萬億
-0.70%24.41萬億
-3.22%30.74萬億
26.96%32.16萬億
24.06%29.42萬億
-0.70%24.41萬億
-8.47%24.59萬億
145.62%31.76萬億
當期現金流變化
738.50%9.06萬億
-107.77%-2,133.73億
-94.21%2,868.33億
5,436.70%6.02萬億
96.33%-2,605.91億
-122.39%-1.42萬億
77.24%2.74萬億
651.41%4.95萬億
96.07%-1,127.72億
-5.42%-7.1萬億
利率變動影響
-1,293.58%-788.07億
2,691.89%607.54億
-18.86%438.57億
73.94%-153.61億
75.57%-614.13億
-105.92%-56.55億
-103.36%-23.44億
99.47%540.51億
-152.24%-589.55億
-3,299.90%-2,514.16億
期末現金流
28.74%39.57萬億
-4.88%30.59萬億
4.51%30.75萬億
24.59%30.42萬億
24.59%30.42萬億
-3.22%30.74萬億
26.96%32.16萬億
24.06%29.42萬億
1.29%24.41萬億
1.29%24.41萬億
自由現金流
203.86%6.6萬億
-121.85%-1.64萬億
-139.43%-1.42萬億
-102.98%-1,863.92億
-528.37%-4.95萬億
-302.38%-6.36萬億
1,018.21%7.51萬億
181.65%3.6萬億
88.69%6.25萬億
118.99%1.15萬億
貨幣單位
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
--
--
--
--
--
--
無保留意見
--
(Q3)2024/09/30(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
經營活動現金流量(間接法)
持續經營活動現金淨額 210.70%6.78萬億-118.62%-1.42萬億-132.94%-1.24萬億-92.63%5,298.46億-428.00%-4.76萬億-283.62%-6.13萬億757.87%7.65萬億148.81%3.76萬億71.16%7.19萬億125.23%1.45萬億
持續經營淨收入 8.75%1.33萬億14.36%1.45萬億-4.70%1.35萬億-5.84%4.48萬億49.32%5,760.52億79.22%1.22萬億-28.72%1.27萬億-25.94%1.41萬億15.63%4.76萬億147.86%3,857.9億
持續經營損益 906.75%1,181.73億-1,298.65%-3,057.02億20.95%-6,843.97億-254.41%-1.6萬億-207.68%-7,003.17億96.45%-146.48億-103.71%-218.57億-510.71%-8,657.97億239.25%1.04萬億623.82%6,503.47億
折舊和攤銷 11.01%3,322.41億5.03%3,089.11億9.08%3,062.4億18.54%1.19萬億14.92%3,108.4億19.62%2,992.97億20.32%2,941.15億19.69%2,807.54億10.74%9,996.82億8.39%2,704.76億
遞延稅費 18.40%4,399.19億-8.52%4,204.53億0.06%4,426.76億-7.71%1.49萬億153.02%2,133.47億--3,715.57億--4,596.36億--4,424.2億9.52%1.61萬億--843.2億
其他非現金項目 -1.68%-2.94萬億-1.32%-2.71萬億-8.23%-2.52萬億5.87%-10.05萬億14.85%-2.16萬億14.73%-2.89萬億-7.30%-2.68萬億-2.95%-2.32萬億-27.32%-10.68萬億-18.82%-2.53萬億
營運資金變動 140.56%3.49萬億-192.76%-4.57萬億-507.82%-3.54萬億-243.53%-8.82萬億-549.71%-6萬億-576.88%-8.61萬億343.34%4.92萬億160.79%8,680.17億22.04%-2.57萬億87.25%-9,233.79億
-貸款(增)減 -65.07%-10.39萬億-869.91%-12.67萬億-301.96%-8.42萬億79.68%-5.03萬億67.39%-1.6萬億-26.55%-6.3萬億86.86%-1.31萬億184.41%4.17萬億12.80%-24.77萬億50.97%-4.9萬億
-其他流動資產變化 152.97%1.91萬億-547.87%-2.97萬億-11.09%-6.5萬億-207.33%-6.39萬億69.41%3.53萬億-149.68%-3.61萬億90.69%-4,582.32億10.19%-5.85萬億69.94%-2.08萬億242.60%2.08萬億
-其他流動負債變化 -94.01%3,452.05億243.48%3.65萬億-82.39%2.03萬億653.38%13.48萬億86.13%-1.28萬億223.63%5.76萬億-186.18%-2.54萬億-9.30%11.54萬億139.85%1.79萬億5.39%-9.23萬億
-其他營運資本變化 360.69%11.63萬億-19.54%7.43萬億203.96%9.35萬億-148.36%-10.87萬億-159.75%-6.65萬億-207.09%-4.46萬億-6.73%9.23萬億-233.28%-8.99萬億-38.41%22.49萬億-20.38%11.13萬億
非持續經營活動現金流
經營活動現金淨額 210.70%6.78萬億-118.62%-1.42萬億-132.94%-1.24萬億-92.63%5,298.46億-428.00%-4.76萬億-283.62%-6.13萬億757.87%7.65萬億148.81%3.76萬億71.16%7.19萬億125.23%1.45萬億
投資活動現金流量
持續投資活動現金淨額 91.27%-1,910.85億88.31%-1,471.62億239.74%1.22萬億60.06%-4.27萬億16.31%-1.18萬億-56.55%-2.19萬億49.17%-1.26萬億106.66%3,600.35億11.09%-10.7萬億62.41%-1.42萬億
投資產品交易淨現金流 97.19%-605.99億107.82%825.59億209.88%1.39萬億64.09%-3.76萬億41.41%-9,976.88億-99.83%-2.16萬億58.13%-1.06萬億108.65%4,476.44億4.69%-10.48萬億49.81%-1.7萬億
固定資產交易的淨現金流 -6.27%-674.85億24.10%-492.62億-29.11%-414.62億-5.26%-2,452.85億30.41%-847.7億-0.11%-635.02億-4,943.28%-649億34.63%-321.13億25.98%-2,330.35億15.14%-1,218.21億
無形資產交易的淨現金流 32.46%-1,109.69億-155.25%-1,637.82億-25.77%-1,343.21億27.59%-4,297.65億43.40%-944.88億-33.88%-1,643.08億51.92%-641.66億37.33%-1,068.03億-10.02%-5,935.41億7.66%-1,669.39億
業務交易的淨現金流 --------------0-------------------278.4億--0
其他投資活動的淨現金流 -75.38%488.65億83.74%-158.02億107.84%70.11億-98.54%56.22億-101.14%-62.98億252.59%1,984.98億-283.54%-971.96億-896.12%-893.82億323.30%3,859.68億1,266.83%5,503.7億
非持續投資現金淨額
投資活動現金流淨額 91.27%-1,910.85億88.31%-1,471.62億239.74%1.22萬億60.06%-4.27萬億16.31%-1.18萬億-56.55%-2.19萬億49.17%-1.26萬億106.66%3,600.35億11.09%-10.7萬億62.41%-1.42萬億
融資活動現金流量
持續融資活動現金淨額 -64.20%2.47萬億137.23%1.36萬億-63.82%3,018.96億187.51%9.76萬億179.63%5.68萬億56.82%6.89萬億-216.42%-3.65萬億-72.16%8,343.19億-31.58%3.39萬億-356.62%-7.13萬億
債務發行/償還的淨現金流 -73.31%2.1萬億119.05%4,733.52億1,780.22%2.27萬億223.93%11.76萬億186.62%6.24萬億98.27%7.88萬億-156.81%-2.48萬億-95.12%1,208.27億-27.29%3.63萬億-343.38%-7.2萬億
普通股發行/償還的淨現金流 -50.04%-1,500.76億-0.27%-1,497.57億-9.81%-1,500.53億-61.98%-4,860.28億33.35%-1,000.01億---1,000.23億-31.86%-1,493.57億-271.72%-1,366.47億-1,376.36%-3,000.6億---1,500.31億
現金股利支付 3.44%-3,118.09億22.97%-5,874.57億28.58%-418.09億5.16%-1.46萬億-26.27%-3,172.81億-25.72%-3,229.32億21.97%-7,626.19億-5.81%-585.39億-26.43%-1.54萬億-50.36%-2,512.81億
其他融資活動的淨現金流額 245.76%8,260.91億744.20%1.62萬億-295.68%-1.78萬億-103.05%-490.49億-129.75%-1,391.58億-183.74%-5,667.37億-69.23%-2,518.32億48.82%9,086.78億37.85%1.61萬億4,221.15%4,677.09億
非持續融資活動現金淨額
融資活動現金流淨額 -64.20%2.47萬億137.23%1.36萬億-63.82%3,018.96億187.51%9.76萬億179.63%5.68萬億56.82%6.89萬億-216.42%-3.65萬億-72.16%8,343.19億-31.58%3.39萬億-356.62%-7.13萬億
現金淨流量
期初現金流 -4.88%30.59萬億4.51%30.75萬億24.59%30.42萬億-0.70%24.41萬億-3.22%30.74萬億26.96%32.16萬億24.06%29.42萬億-0.70%24.41萬億-8.47%24.59萬億145.62%31.76萬億
當期現金流變化 738.50%9.06萬億-107.77%-2,133.73億-94.21%2,868.33億5,436.70%6.02萬億96.33%-2,605.91億-122.39%-1.42萬億77.24%2.74萬億651.41%4.95萬億96.07%-1,127.72億-5.42%-7.1萬億
利率變動影響 -1,293.58%-788.07億2,691.89%607.54億-18.86%438.57億73.94%-153.61億75.57%-614.13億-105.92%-56.55億-103.36%-23.44億99.47%540.51億-152.24%-589.55億-3,299.90%-2,514.16億
期末現金流 28.74%39.57萬億-4.88%30.59萬億4.51%30.75萬億24.59%30.42萬億24.59%30.42萬億-3.22%30.74萬億26.96%32.16萬億24.06%29.42萬億1.29%24.41萬億1.29%24.41萬億
自由現金流 203.86%6.6萬億-121.85%-1.64萬億-139.43%-1.42萬億-102.98%-1,863.92億-528.37%-4.95萬億-302.38%-6.36萬億1,018.21%7.51萬億181.65%3.6萬億88.69%6.25萬億118.99%1.15萬億
貨幣單位 韓元韓元韓元韓元韓元韓元韓元韓元韓元韓元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ----------------無保留意見--

分析

分析師評級

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目標價預測

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熱議
美股
綜合熱度
股票代碼
最新價
升跌幅

暫無數據