美股市场个股详情

WAYN Wayne Savings Bancshares, Inc.

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  • 23.770
  • -0.630-2.58%
延时15分钟行情收盘价 05/14 16:00 (美东)
5232.74万总市值7.43市盈率TTM

Wayne Savings Bancshares, Inc.关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2023/12/31
(FY)2022/12/31
(FY)2021/12/31
(FY)2020/12/31
(FY)2019/12/31
(FY)2018/12/31
(FY)2017/12/31
(Q4)2017/12/31
(Q3)2017/09/30
(Q2)2017/06/30
经营活动现金流量(间接法)
持续经营活动现金净额
-38.72%693.2万
35.23%1,131.2万
9.88%836.5万
-5.46%761.3万
24.24%805.3万
17.15%648.2万
13.94%553.3万
-1.15%223.5万
-3.83%105.6万
140.87%193.9万
持续经营净收入
-13.01%783.3万
21.07%900.4万
11.17%743.7万
3.70%669万
25.31%645.1万
65.58%514.8万
38.42%310.9万
192.70%92.2万
55.45%85.5万
12.91%76.1万
持续经营损益
-57.37%-49.1万
48.09%-31.2万
57.29%-60.1万
-109.06%-140.7万
-112.97%-67.3万
-8.59%-31.6万
-37.26%-29.1万
-200.00%-4.5万
7.41%-7.5万
-91.67%-13.8万
折旧和摊销
0.52%58.5万
-21.35%58.2万
4.37%74万
4.11%70.9万
-19.41%68.1万
15.44%84.5万
2.38%73.2万
0.53%18.9万
-5.32%17.8万
3.43%18.1万
递延税费
25.11%-35.5万
-189.02%-47.4万
43.64%-16.4万
-1,485.71%-29.1万
108.57%2.1万
-880.00%-24.5万
41.86%-2.5万
1.31%15.5万
44.85%-7.5万
-6.76%-7.9万
其他非现金项目
-187.78%-7.9万
-56.94%9万
-74.07%20.9万
1,915.00%80.6万
129.63%4万
---13.5万
----
----
-92.31%1,000
1,320.00%7.1万
营运资金变动
-693.27%-176.2万
285.63%29.7万
40.52%-16万
-183.02%-26.9万
711.32%32.4万
-106.70%-5.3万
22.83%79.1万
-37.76%73.5万
-545.71%-15.6万
454.01%83.9万
-应收款项(增)减
-33.83%-62.9万
-561.97%-47万
65.02%-7.1万
-651.85%-20.3万
86.76%-2.7万
-2,450.00%-20.4万
-366.67%-8,000
0.98%20.7万
-14.05%-21.1万
-12.64%15.9万
-应付款项及递延费用(减)增
158.43%164.1万
5,191.67%63.5万
105.36%1.2万
-120.05%-22.4万
793.60%111.7万
-50.40%12.5万
-44.37%25.2万
-27.97%55.1万
-18.00%-17.7万
213.51%46.4万
-其他流动资产变化
-2,201.52%-277.4万
230.69%13.2万
-163.92%-10.1万
120.63%15.8万
-3,046.15%-76.6万
-95.25%2.6万
190.96%54.7万
-110.90%-2.3万
-37.30%23.2万
138.10%21.6万
非持续经营活动现金流
经营活动现金净额
-38.72%693.2万
35.23%1,131.2万
9.88%836.5万
-5.46%761.3万
24.24%805.3万
17.15%648.2万
13.94%553.3万
-1.15%223.5万
-3.83%105.6万
140.87%193.9万
投资活动现金流量
持续投资活动现金净额
50.77%-6,779.5万
-80.20%-1.38亿
-38.14%-7,642.9万
-7,033.21%-5,532.7万
102.69%79.8万
-1,792.75%-2,964万
109.58%175.1万
242.95%441万
-212.09%-273.7万
95.08%-37.2万
投资产品交易净现金流
207.05%801.7万
117.74%261.1万
62.53%-1,471.8万
-9,542.07%-3,927.9万
-85.92%41.6万
-81.53%295.5万
-25.90%1,599.5万
-18.14%656.8万
-40.93%332.2万
134.76%383.6万
贷款净收益
47.00%-7,494.7万
-130.03%-1.41亿
---6,147.3万
----
102.63%85.6万
-129.65%-3,255.1万
64.14%-1,417.4万
80.70%-213.9万
3.50%-620万
55.20%-403.8万
固定资产交易的净现金流
45.45%-22.8万
-75.63%-41.8万
60.40%-23.8万
-26.79%-60.1万
-444.83%-47.4万
72.73%-8.7万
25.47%-31.9万
-129.63%-6.2万
22.89%-6.4万
7.57%-17.1万
其他投资活动的净现金流
-170.46%-63.7万
--90.4万
----
---1,544.7万
----
----
----
----
----
----
非持续投资现金净额
投资活动现金流净额
50.77%-6,779.5万
-80.20%-1.38亿
-38.14%-7,642.9万
-7,033.21%-5,532.7万
102.69%79.8万
-1,792.75%-2,964万
109.58%175.1万
242.95%441万
-212.09%-273.7万
95.08%-37.2万
融资活动现金流量
持续融资活动现金净额
-29.05%6,794.8万
151.96%9,577.3万
-58.44%3,801.1万
751.51%9,145.2万
-62.02%1,074万
257.11%2,827.8万
-194.62%-1,799.9万
-186.81%-756.6万
116.09%55.1万
-144.46%-474.9万
存款的增减
33.52%8,729.2万
17.02%6,537.8万
-27.46%5,586.8万
282.73%7,701.6万
34.30%2,012.3万
232.98%1,498.4万
-152.89%-1,126.8万
-71.25%207万
-1,669.15%-711.2万
-106.61%-75.1万
债务发行/偿还的净现金流
-147.55%-1,753.3万
390.97%3,687.4万
-168.02%-1,267.3万
456.37%1,863.1万
-135.41%-522.8万
440.40%1,476.3万
-218.90%-433.7万
-798.20%-853.9万
350.45%784.9万
-4,418.52%-366万
普通股发行/偿还的净现金流
--0
-56.29%-494.2万
-47.83%-316.2万
-5.73%-213.9万
-1,011.54%-202.3万
87.23%-18.2万
---142.5万
----
----
----
现金股利支付
1.37%-202.1万
-1.44%-204.9万
0.93%-202万
-6.59%-203.9万
-51.58%-191.3万
-27.35%-126.2万
-0.20%-99.1万
0.00%-24.7万
0.00%-24.8万
-0.40%-24.8万
职工行使股票期权收到的现金
-52.05%15.2万
244.57%31.7万
--9.2万
--0
----
----
----
----
----
----
其他融资活动的净现金流额
-70.26%5.8万
307.45%19.5万
-452.94%-9.4万
92.24%-1.7万
-776.00%-21.9万
-213.64%-2.5万
-66.67%2.2万
6.48%57.5万
-82.78%6.2万
74.43%-9万
非持续融资活动现金净额
融资活动现金流净额
-29.05%6,794.8万
151.96%9,577.3万
-58.44%3,801.1万
751.51%9,145.2万
-62.02%1,074万
257.11%2,827.8万
-194.62%-1,799.9万
-186.81%-756.6万
116.09%55.1万
-144.46%-474.9万
现金净流量
期初现金流
-68.95%1,379.9万
-40.35%4,443.7万
142.23%7,449万
175.53%3,075.2万
84.75%1,116.1万
-63.95%604.1万
50.20%1,675.6万
-21.46%696.2万
-32.94%809.2万
38.57%1,127.4万
当期现金流变化
123.12%708.5万
-1.95%-3,063.8万
-168.71%-3,005.3万
123.26%4,373.8万
282.64%1,959.1万
147.78%512万
-291.34%-1,071.5万
-111.67%-92.1万
64.72%-113万
-180.95%-318.2万
期末现金流
51.34%2,088.4万
-68.95%1,379.9万
-40.35%4,443.7万
142.23%7,449万
175.53%3,075.2万
84.75%1,116.1万
-63.95%604.1万
-63.95%604.1万
-21.46%696.2万
-32.94%809.2万
自由现金流
-38.46%670.4万
34.05%1,089.4万
15.90%812.7万
-7.48%701.2万
18.51%757.9万
22.67%639.5万
17.73%521.3万
-2.73%217.3万
-2.36%99.1万
185.16%176.8万
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
带解释段的无保留意见
未经审计意见
无保留意见
--
--
无保留意见
无保留意见
--
--
--
(FY)2023/12/31(FY)2022/12/31(FY)2021/12/31(FY)2020/12/31(FY)2019/12/31(FY)2018/12/31(FY)2017/12/31(Q4)2017/12/31(Q3)2017/09/30(Q2)2017/06/30
经营活动现金流量(间接法)
持续经营活动现金净额 -38.72%693.2万35.23%1,131.2万9.88%836.5万-5.46%761.3万24.24%805.3万17.15%648.2万13.94%553.3万-1.15%223.5万-3.83%105.6万140.87%193.9万
持续经营净收入 -13.01%783.3万21.07%900.4万11.17%743.7万3.70%669万25.31%645.1万65.58%514.8万38.42%310.9万192.70%92.2万55.45%85.5万12.91%76.1万
持续经营损益 -57.37%-49.1万48.09%-31.2万57.29%-60.1万-109.06%-140.7万-112.97%-67.3万-8.59%-31.6万-37.26%-29.1万-200.00%-4.5万7.41%-7.5万-91.67%-13.8万
折旧和摊销 0.52%58.5万-21.35%58.2万4.37%74万4.11%70.9万-19.41%68.1万15.44%84.5万2.38%73.2万0.53%18.9万-5.32%17.8万3.43%18.1万
递延税费 25.11%-35.5万-189.02%-47.4万43.64%-16.4万-1,485.71%-29.1万108.57%2.1万-880.00%-24.5万41.86%-2.5万1.31%15.5万44.85%-7.5万-6.76%-7.9万
其他非现金项目 -187.78%-7.9万-56.94%9万-74.07%20.9万1,915.00%80.6万129.63%4万---13.5万---------92.31%1,0001,320.00%7.1万
营运资金变动 -693.27%-176.2万285.63%29.7万40.52%-16万-183.02%-26.9万711.32%32.4万-106.70%-5.3万22.83%79.1万-37.76%73.5万-545.71%-15.6万454.01%83.9万
-应收款项(增)减 -33.83%-62.9万-561.97%-47万65.02%-7.1万-651.85%-20.3万86.76%-2.7万-2,450.00%-20.4万-366.67%-8,0000.98%20.7万-14.05%-21.1万-12.64%15.9万
-应付款项及递延费用(减)增 158.43%164.1万5,191.67%63.5万105.36%1.2万-120.05%-22.4万793.60%111.7万-50.40%12.5万-44.37%25.2万-27.97%55.1万-18.00%-17.7万213.51%46.4万
-其他流动资产变化 -2,201.52%-277.4万230.69%13.2万-163.92%-10.1万120.63%15.8万-3,046.15%-76.6万-95.25%2.6万190.96%54.7万-110.90%-2.3万-37.30%23.2万138.10%21.6万
非持续经营活动现金流
经营活动现金净额 -38.72%693.2万35.23%1,131.2万9.88%836.5万-5.46%761.3万24.24%805.3万17.15%648.2万13.94%553.3万-1.15%223.5万-3.83%105.6万140.87%193.9万
投资活动现金流量
持续投资活动现金净额 50.77%-6,779.5万-80.20%-1.38亿-38.14%-7,642.9万-7,033.21%-5,532.7万102.69%79.8万-1,792.75%-2,964万109.58%175.1万242.95%441万-212.09%-273.7万95.08%-37.2万
投资产品交易净现金流 207.05%801.7万117.74%261.1万62.53%-1,471.8万-9,542.07%-3,927.9万-85.92%41.6万-81.53%295.5万-25.90%1,599.5万-18.14%656.8万-40.93%332.2万134.76%383.6万
贷款净收益 47.00%-7,494.7万-130.03%-1.41亿---6,147.3万----102.63%85.6万-129.65%-3,255.1万64.14%-1,417.4万80.70%-213.9万3.50%-620万55.20%-403.8万
固定资产交易的净现金流 45.45%-22.8万-75.63%-41.8万60.40%-23.8万-26.79%-60.1万-444.83%-47.4万72.73%-8.7万25.47%-31.9万-129.63%-6.2万22.89%-6.4万7.57%-17.1万
其他投资活动的净现金流 -170.46%-63.7万--90.4万-------1,544.7万------------------------
非持续投资现金净额
投资活动现金流净额 50.77%-6,779.5万-80.20%-1.38亿-38.14%-7,642.9万-7,033.21%-5,532.7万102.69%79.8万-1,792.75%-2,964万109.58%175.1万242.95%441万-212.09%-273.7万95.08%-37.2万
融资活动现金流量
持续融资活动现金净额 -29.05%6,794.8万151.96%9,577.3万-58.44%3,801.1万751.51%9,145.2万-62.02%1,074万257.11%2,827.8万-194.62%-1,799.9万-186.81%-756.6万116.09%55.1万-144.46%-474.9万
存款的增减 33.52%8,729.2万17.02%6,537.8万-27.46%5,586.8万282.73%7,701.6万34.30%2,012.3万232.98%1,498.4万-152.89%-1,126.8万-71.25%207万-1,669.15%-711.2万-106.61%-75.1万
债务发行/偿还的净现金流 -147.55%-1,753.3万390.97%3,687.4万-168.02%-1,267.3万456.37%1,863.1万-135.41%-522.8万440.40%1,476.3万-218.90%-433.7万-798.20%-853.9万350.45%784.9万-4,418.52%-366万
普通股发行/偿还的净现金流 --0-56.29%-494.2万-47.83%-316.2万-5.73%-213.9万-1,011.54%-202.3万87.23%-18.2万---142.5万------------
现金股利支付 1.37%-202.1万-1.44%-204.9万0.93%-202万-6.59%-203.9万-51.58%-191.3万-27.35%-126.2万-0.20%-99.1万0.00%-24.7万0.00%-24.8万-0.40%-24.8万
职工行使股票期权收到的现金 -52.05%15.2万244.57%31.7万--9.2万--0------------------------
其他融资活动的净现金流额 -70.26%5.8万307.45%19.5万-452.94%-9.4万92.24%-1.7万-776.00%-21.9万-213.64%-2.5万-66.67%2.2万6.48%57.5万-82.78%6.2万74.43%-9万
非持续融资活动现金净额
融资活动现金流净额 -29.05%6,794.8万151.96%9,577.3万-58.44%3,801.1万751.51%9,145.2万-62.02%1,074万257.11%2,827.8万-194.62%-1,799.9万-186.81%-756.6万116.09%55.1万-144.46%-474.9万
现金净流量
期初现金流 -68.95%1,379.9万-40.35%4,443.7万142.23%7,449万175.53%3,075.2万84.75%1,116.1万-63.95%604.1万50.20%1,675.6万-21.46%696.2万-32.94%809.2万38.57%1,127.4万
当期现金流变化 123.12%708.5万-1.95%-3,063.8万-168.71%-3,005.3万123.26%4,373.8万282.64%1,959.1万147.78%512万-291.34%-1,071.5万-111.67%-92.1万64.72%-113万-180.95%-318.2万
期末现金流 51.34%2,088.4万-68.95%1,379.9万-40.35%4,443.7万142.23%7,449万175.53%3,075.2万84.75%1,116.1万-63.95%604.1万-63.95%604.1万-21.46%696.2万-32.94%809.2万
自由现金流 -38.46%670.4万34.05%1,089.4万15.90%812.7万-7.48%701.2万18.51%757.9万22.67%639.5万17.73%521.3万-2.73%217.3万-2.36%99.1万185.16%176.8万
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 带解释段的无保留意见未经审计意见无保留意见----无保留意见无保留意见------

分析

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