美股市场个股详情

SBSI Southside Bancshares

添加自选
  • 27.840
  • -0.130-0.46%
收盘价 05/13 16:00 (美东)
  • 27.840
  • 0.0000.00%
盘后 16:01 (美东)
8.43亿总市值10.31市盈率TTM

Southside Bancshares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
经营活动现金流量(间接法)
持续经营活动现金净额
146.68%5,829.2万
-64.74%7,986.4万
-411.74%-5,659万
-2.38%7,842.1万
-19.35%3,440.2万
-72.32%2,363.1万
45.11%2.27亿
-33.88%1,815.3万
65.87%8,033.1万
139.59%4,265.6万
持续经营净收入
-17.37%2,151.1万
-17.45%8,669.2万
-37.42%1,731.6万
-31.55%1,844.9万
-2.02%2,489.3万
4.15%2,603.4万
-7.39%1.05亿
-3.55%2,766.8万
-8.04%2,695.1万
19.18%2,540.5万
持续经营损益
301.50%53.6万
140.76%1,067.3万
7,433.33%1,062.2万
-93.07%7,000
-86.38%31万
-113.89%-26.6万
283.18%443.3万
131.06%14.1万
140.40%10.1万
3,693.33%227.6万
折旧和摊销
-6.37%246.8万
-4.75%1,057.7万
-6.06%260.5万
-3.18%268.3万
-5.11%265.3万
-4.67%263.6万
-2.77%1,110.5万
-0.50%277.3万
-2.91%277.1万
-3.52%279.6万
递延税费
26.80%-14.2万
-2,270.79%-211万
-26.04%-24.2万
-187.41%-155.2万
-134.08%-12.2万
-168.07%-19.4万
-101.87%-8.9万
-116.84%-19.2万
-133.96%-54万
357.55%35.8万
其他非现金项目
878.95%204.6万
-324.67%-219.5万
-420.80%-142.7万
-27.92%28.4万
-268.36%-126.1万
93.52%20.9万
-46.82%97.7万
49.91%-27.4万
-67.19%39.4万
613.33%74.9万
营运资金变动
413.37%2,925.9万
-151.50%-4,140.2万
-359.53%-8,942万
15.19%5,048.6万
5.56%686.9万
-118.85%-933.7万
320.59%8,040万
-201.69%-1,945.9万
253.03%4,382.9万
145.05%650.7万
-应收款项(增)减
-25.50%1,077.3万
88.84%-113.9万
34.03%-1,084.3万
-0.07%861.9万
-1.54%-1,337.5万
34.16%1,446万
-2,235.24%-1,020.5万
-63.57%-1,643.6万
15.02%862.5万
-43.83%-1,317.2万
-应付款项及递延费用(减)增
-149.55%-161.2万
438.61%742.2万
-789.40%-312.3万
339.26%558.3万
259.12%170.9万
346.84%325.3万
161.05%137.8万
143.81%45.3万
389.52%127.1万
-543.80%-107.4万
-其他流动资产变化
681.15%1,791.1万
795.32%3,787.4万
153.17%4,353.9万
-200.20%-8,006.7万
2,380.28%7,748.4万
-4,064.86%-308.2万
-103.85%-544.7万
-62,603.05%-8,187.9万
812.67%7,990.4万
-274.26%-339.8万
-其他流动负债变化
109.12%218.7万
-190.37%-8,555.9万
-251.77%-1.19亿
353.10%1.16亿
-344.09%-5,894.9万
-162.92%-2,396.8万
286.71%9,467.4万
1,641.90%7,840.3万
-377.49%-4,597.1万
423.00%2,415.1万
非持续经营活动现金流
经营活动现金净额
146.68%5,829.2万
-64.74%7,986.4万
-411.74%-5,659万
-2.38%7,842.1万
-19.35%3,440.2万
-72.32%2,363.1万
45.11%2.27亿
-33.88%1,815.3万
65.87%8,033.1万
139.59%4,265.6万
投资活动现金流量
持续投资活动现金净额
-63.51%-1.83亿
48.47%-3.27亿
90.58%-776.5万
-74.89%-1亿
72.71%-1.07亿
-9.42%-1.12亿
-227.19%-6.35亿
-509.60%-8,239.2万
22.83%-5,731.6万
-273.62%-3.93亿
投资产品交易净现金流
-24.07%-1.2亿
153.53%6,926万
56,051.31%1.07亿
-108.94%-397.5万
128.95%6,336.5万
-314.61%-9,699.7万
34.79%-1.29亿
-102.92%-19.1万
180.75%4,447.7万
-28.80%-2.19亿
贷款净收益
-899.44%-5,339万
22.90%-3.88亿
-33.33%-1.13亿
8.09%-9,265.6万
-9.12%-1.77亿
96.57%-534.2万
-4,335.53%-5.04亿
-3,402.33%-8,510.1万
-1,574.95%-1.01亿
-317.41%-1.62亿
固定资产交易的净现金流
-17.59%-256.7万
18.42%-647.4万
-96.89%-183.3万
11.28%-181.6万
70.21%-64.2万
22.12%-218.3万
-22.02%-793.6万
50.11%-93.1万
-3.33%-204.7万
-507.04%-215.5万
其他投资活动的净现金流
9.79%-664.5万
-125.13%-155.5万
-82.72%66.2万
-267.73%-179.3万
171.38%694.2万
-166.88%-736.6万
733.47%618.9万
-70.19%383.1万
109.55%106.9万
-3.56%-972.5万
非持续投资现金净额
投资活动现金流净额
-63.51%-1.83亿
48.47%-3.27亿
90.58%-776.5万
-74.89%-1亿
72.71%-1.07亿
-9.42%-1.12亿
-227.19%-6.35亿
-509.60%-8,239.2万
22.83%-5,731.6万
-273.62%-3.93亿
融资活动现金流量
持续融资活动现金净额
-83.20%3,352.1万
49.96%6.08亿
337.43%2.99亿
79,494.92%1.41亿
-109.13%-3,060.1万
8,822.05%1.99亿
209.15%4.06亿
1.96%6,836.4万
98.86%-17.7万
209.93%3.35亿
存款的增减
98.91%-392.6万
-26.09%3.52亿
341.65%2亿
342.14%2.32亿
56.99%2.79亿
-203.38%-3.6亿
-39.79%4.76亿
-88.40%4,530.8万
-154.56%-9,574.8万
180.26%1.78亿
债务发行/偿还的净现金流
-91.84%4,768.3万
4,636.59%3.44亿
103.40%1.14亿
-171.00%-7,531万
-257.11%-2.8亿
275.37%5.84亿
101.23%725.4万
117.99%5,625.9万
164.20%1.06亿
211.00%1.78亿
普通股发行/偿还的净现金流
102.10%30.6万
-34.19%-4,357.9万
79.08%-436.7万
-17,103.23%-533.3万
-100.22%-1,933.9万
-662.85%-1,454万
0.98%-3,247.5万
-5,789.10%-2,087.9万
99.79%-3.1万
-127.11%-965.9万
现金股利支付
0.87%-1,089.2万
3.01%-4,358.2万
7.61%-1,118.7万
2.12%-1,068.7万
1.71%-1,072万
0.14%-1,098.8万
-0.82%-4,493.6万
4.00%-1,210.8万
-1.99%-1,091.9万
-1.22%-1,090.6万
职工行使股票期权收到的现金
-32.19%43.4万
36.96%108.2万
409.02%37.7万
-87.08%6.5万
--0
92.77%64万
-89.70%79万
-107.80%-12.2万
289.92%50.3万
-97.00%7.7万
其他融资活动的净现金流额
-23.53%-8.4万
-19.16%-59.7万
-236.17%-31.6万
1.82%-5.4万
44.98%-15.9万
-7.94%-6.8万
-4.59%-50.1万
64.12%-9.4万
15.38%-5.5万
-129.37%-28.9万
非持续融资活动现金净额
融资活动现金流净额
-83.20%3,352.1万
49.96%6.08亿
337.43%2.99亿
79,494.92%1.41亿
-109.13%-3,060.1万
8,822.05%1.99亿
209.15%4.06亿
1.96%6,836.4万
98.86%-17.7万
209.93%3.35亿
现金净流量
期初现金流
181.31%5.61亿
-1.24%1.99亿
66.98%3.26亿
20.21%2.07亿
65.94%3.1亿
-1.24%1.99亿
86.11%2.02亿
123.94%1.95亿
34.09%1.72亿
73.85%1.87亿
当期现金流变化
-181.93%-9,113.7万
14,544.54%3.61亿
5,589.38%2.35亿
419.79%1.19亿
-597.66%-1.03亿
859.52%1.11亿
-102.68%-250.1万
-96.40%412.5万
155.22%2,283.8万
-171.02%-1,481.8万
期末现金流
51.17%4.69亿
181.31%5.61亿
181.31%5.61亿
66.98%3.26亿
20.21%2.07亿
65.94%3.1亿
-1.24%1.99亿
-1.24%1.99亿
123.94%1.95亿
34.09%1.72亿
自由现金流
159.81%5,572.5万
-66.41%7,296万
-439.23%-5,842.3万
-0.50%7,654.5万
-17.55%3,339万
-74.02%2,144.8万
47.03%2.17亿
-32.67%1,722.2万
65.62%7,692.6万
158.06%4,049.7万
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
--
--
--
--
--
--
--
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(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
经营活动现金流量(间接法)
持续经营活动现金净额 146.68%5,829.2万-64.74%7,986.4万-411.74%-5,659万-2.38%7,842.1万-19.35%3,440.2万-72.32%2,363.1万45.11%2.27亿-33.88%1,815.3万65.87%8,033.1万139.59%4,265.6万
持续经营净收入 -17.37%2,151.1万-17.45%8,669.2万-37.42%1,731.6万-31.55%1,844.9万-2.02%2,489.3万4.15%2,603.4万-7.39%1.05亿-3.55%2,766.8万-8.04%2,695.1万19.18%2,540.5万
持续经营损益 301.50%53.6万140.76%1,067.3万7,433.33%1,062.2万-93.07%7,000-86.38%31万-113.89%-26.6万283.18%443.3万131.06%14.1万140.40%10.1万3,693.33%227.6万
折旧和摊销 -6.37%246.8万-4.75%1,057.7万-6.06%260.5万-3.18%268.3万-5.11%265.3万-4.67%263.6万-2.77%1,110.5万-0.50%277.3万-2.91%277.1万-3.52%279.6万
递延税费 26.80%-14.2万-2,270.79%-211万-26.04%-24.2万-187.41%-155.2万-134.08%-12.2万-168.07%-19.4万-101.87%-8.9万-116.84%-19.2万-133.96%-54万357.55%35.8万
其他非现金项目 878.95%204.6万-324.67%-219.5万-420.80%-142.7万-27.92%28.4万-268.36%-126.1万93.52%20.9万-46.82%97.7万49.91%-27.4万-67.19%39.4万613.33%74.9万
营运资金变动 413.37%2,925.9万-151.50%-4,140.2万-359.53%-8,942万15.19%5,048.6万5.56%686.9万-118.85%-933.7万320.59%8,040万-201.69%-1,945.9万253.03%4,382.9万145.05%650.7万
-应收款项(增)减 -25.50%1,077.3万88.84%-113.9万34.03%-1,084.3万-0.07%861.9万-1.54%-1,337.5万34.16%1,446万-2,235.24%-1,020.5万-63.57%-1,643.6万15.02%862.5万-43.83%-1,317.2万
-应付款项及递延费用(减)增 -149.55%-161.2万438.61%742.2万-789.40%-312.3万339.26%558.3万259.12%170.9万346.84%325.3万161.05%137.8万143.81%45.3万389.52%127.1万-543.80%-107.4万
-其他流动资产变化 681.15%1,791.1万795.32%3,787.4万153.17%4,353.9万-200.20%-8,006.7万2,380.28%7,748.4万-4,064.86%-308.2万-103.85%-544.7万-62,603.05%-8,187.9万812.67%7,990.4万-274.26%-339.8万
-其他流动负债变化 109.12%218.7万-190.37%-8,555.9万-251.77%-1.19亿353.10%1.16亿-344.09%-5,894.9万-162.92%-2,396.8万286.71%9,467.4万1,641.90%7,840.3万-377.49%-4,597.1万423.00%2,415.1万
非持续经营活动现金流
经营活动现金净额 146.68%5,829.2万-64.74%7,986.4万-411.74%-5,659万-2.38%7,842.1万-19.35%3,440.2万-72.32%2,363.1万45.11%2.27亿-33.88%1,815.3万65.87%8,033.1万139.59%4,265.6万
投资活动现金流量
持续投资活动现金净额 -63.51%-1.83亿48.47%-3.27亿90.58%-776.5万-74.89%-1亿72.71%-1.07亿-9.42%-1.12亿-227.19%-6.35亿-509.60%-8,239.2万22.83%-5,731.6万-273.62%-3.93亿
投资产品交易净现金流 -24.07%-1.2亿153.53%6,926万56,051.31%1.07亿-108.94%-397.5万128.95%6,336.5万-314.61%-9,699.7万34.79%-1.29亿-102.92%-19.1万180.75%4,447.7万-28.80%-2.19亿
贷款净收益 -899.44%-5,339万22.90%-3.88亿-33.33%-1.13亿8.09%-9,265.6万-9.12%-1.77亿96.57%-534.2万-4,335.53%-5.04亿-3,402.33%-8,510.1万-1,574.95%-1.01亿-317.41%-1.62亿
固定资产交易的净现金流 -17.59%-256.7万18.42%-647.4万-96.89%-183.3万11.28%-181.6万70.21%-64.2万22.12%-218.3万-22.02%-793.6万50.11%-93.1万-3.33%-204.7万-507.04%-215.5万
其他投资活动的净现金流 9.79%-664.5万-125.13%-155.5万-82.72%66.2万-267.73%-179.3万171.38%694.2万-166.88%-736.6万733.47%618.9万-70.19%383.1万109.55%106.9万-3.56%-972.5万
非持续投资现金净额
投资活动现金流净额 -63.51%-1.83亿48.47%-3.27亿90.58%-776.5万-74.89%-1亿72.71%-1.07亿-9.42%-1.12亿-227.19%-6.35亿-509.60%-8,239.2万22.83%-5,731.6万-273.62%-3.93亿
融资活动现金流量
持续融资活动现金净额 -83.20%3,352.1万49.96%6.08亿337.43%2.99亿79,494.92%1.41亿-109.13%-3,060.1万8,822.05%1.99亿209.15%4.06亿1.96%6,836.4万98.86%-17.7万209.93%3.35亿
存款的增减 98.91%-392.6万-26.09%3.52亿341.65%2亿342.14%2.32亿56.99%2.79亿-203.38%-3.6亿-39.79%4.76亿-88.40%4,530.8万-154.56%-9,574.8万180.26%1.78亿
债务发行/偿还的净现金流 -91.84%4,768.3万4,636.59%3.44亿103.40%1.14亿-171.00%-7,531万-257.11%-2.8亿275.37%5.84亿101.23%725.4万117.99%5,625.9万164.20%1.06亿211.00%1.78亿
普通股发行/偿还的净现金流 102.10%30.6万-34.19%-4,357.9万79.08%-436.7万-17,103.23%-533.3万-100.22%-1,933.9万-662.85%-1,454万0.98%-3,247.5万-5,789.10%-2,087.9万99.79%-3.1万-127.11%-965.9万
现金股利支付 0.87%-1,089.2万3.01%-4,358.2万7.61%-1,118.7万2.12%-1,068.7万1.71%-1,072万0.14%-1,098.8万-0.82%-4,493.6万4.00%-1,210.8万-1.99%-1,091.9万-1.22%-1,090.6万
职工行使股票期权收到的现金 -32.19%43.4万36.96%108.2万409.02%37.7万-87.08%6.5万--092.77%64万-89.70%79万-107.80%-12.2万289.92%50.3万-97.00%7.7万
其他融资活动的净现金流额 -23.53%-8.4万-19.16%-59.7万-236.17%-31.6万1.82%-5.4万44.98%-15.9万-7.94%-6.8万-4.59%-50.1万64.12%-9.4万15.38%-5.5万-129.37%-28.9万
非持续融资活动现金净额
融资活动现金流净额 -83.20%3,352.1万49.96%6.08亿337.43%2.99亿79,494.92%1.41亿-109.13%-3,060.1万8,822.05%1.99亿209.15%4.06亿1.96%6,836.4万98.86%-17.7万209.93%3.35亿
现金净流量
期初现金流 181.31%5.61亿-1.24%1.99亿66.98%3.26亿20.21%2.07亿65.94%3.1亿-1.24%1.99亿86.11%2.02亿123.94%1.95亿34.09%1.72亿73.85%1.87亿
当期现金流变化 -181.93%-9,113.7万14,544.54%3.61亿5,589.38%2.35亿419.79%1.19亿-597.66%-1.03亿859.52%1.11亿-102.68%-250.1万-96.40%412.5万155.22%2,283.8万-171.02%-1,481.8万
期末现金流 51.17%4.69亿181.31%5.61亿181.31%5.61亿66.98%3.26亿20.21%2.07亿65.94%3.1亿-1.24%1.99亿-1.24%1.99亿123.94%1.95亿34.09%1.72亿
自由现金流 159.81%5,572.5万-66.41%7,296万-439.23%-5,842.3万-0.50%7,654.5万-17.55%3,339万-74.02%2,144.8万47.03%2.17亿-32.67%1,722.2万65.62%7,692.6万158.06%4,049.7万
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----------------

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