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FVCBankcorp Inc

FVCB

12.620USD

+0.130+1.04%
Trading geöffnet ETKurse um 15 Minuten verzögert
227.40MMarktkapitalisierung
12.04KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q1
FY2024Q4
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FY2024Q1
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FY2022Q3
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FY2022Q1
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FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
116.63%41.43M
-314.76%-85.31M
98.78%-3.30M
-37.41%113.04M
-76.89%19.13M
178.47%39.73M
-792.12%-271.69M
63.12%180.59M
236.03%82.77M
-126.12%-50.62M
-532.85%-30.45M
23.73%110.71M
-185.25%-60.85M
863.37%193.84M
868.12%7.04M
-49.52%89.47M
10.08%71.38M
172.68%20.12M
-101.68%-916.00K
190.38%177.24M
17.98%64.84M
-180.56%-27.68M
611.05%54.58M
-14.90%61.04M
297.77%54.96M
-59.14%34.36M
-57.88%-10.68M
60.27%71.73M
-65.94%13.82M
--84.11M
---6.76M
--44.76M
--40.57M
Nettoergebnis aus fortgeführten Aktivitäten
285.45%5.17M
196.65%4.90M
15.63%4.67M
-1.84%4.16M
115.78%1.34M
-203.38%-5.07M
-42.65%4.04M
-34.13%4.23M
-90.61%621.00K
-24.75%4.90M
50.38%7.04M
24.41%6.43M
18.75%6.61M
29.98%6.52M
20.86%4.68M
79.34%5.17M
49.18%5.57M
34.64%5.01M
-5.35%3.87M
-29.50%2.88M
-4.92%3.73M
164.11%3.72M
20.92%4.09M
32.74%4.08M
31.02%3.93M
40.20%1.41M
51.52%3.38M
45.12%3.08M
28.64%3.00M
--1.01M
--2.23M
--2.12M
--2.33M
Betriebsergebnisse und -verluste
-22.13%95.00K
-21.97%103.00K
-28.86%106.00K
-25.97%114.00K
-23.75%122.00K
23.36%132.00K
-25.13%149.00K
-34.47%154.00K
-11.60%160.00K
-46.50%107.00K
-2.45%199.00K
5.38%235.00K
-22.32%181.00K
-15.61%200.00K
-12.45%204.00K
-75.68%223.00K
-6.43%233.00K
-7.42%237.00K
-7.91%233.00K
259.61%917.00K
-5.68%249.00K
-1.16%256.00K
107.38%253.00K
109.80%255.00K
134.76%264.00K
94.60%259.00K
-10.29%122.00K
-13.61%121.55K
-23.14%112.45K
--133.09K
--136.00K
--140.69K
--146.31K
Abgegrenzte Steuer
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40.04%1.31M
----
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----
136.46%934.00K
----
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----
-60.77%395.00K
----
----
----
186.89%1.01M
----
----
----
-726.49%-1.16M
----
----
----
121.36%185.00K
----
----
----
-165.25%-866.00K
----
----
----
--1.33M
----
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Andere nicht monetäre Posten
-88.44%-554.00K
48.66%-460.00K
-1398.53%-1.02M
60.79%-238.00K
-7.69%-294.00K
-4380.00%-896.00K
88.53%-68.00K
13.53%-607.00K
83.65%-273.00K
99.83%-20.00K
92.29%-593.00K
-161.69%-702.00K
-215.97%-1.67M
-143.67%-11.94M
-1786.27%-7.70M
62.11%1.14M
1554.55%1.44M
-607.07%-4.90M
-372.00%-408.00K
48.41%702.00K
-174.44%-99.00K
-13960.00%-693.00K
227.12%150.00K
-15.24%473.00K
-33.82%133.00K
101.97%5.00K
33.71%-118.00K
-5.89%558.02K
-33.02%200.98K
---253.51K
---178.00K
--592.92K
--300.07K
Veränderung des Umlaufvermögens
103.71%36.30M
-305.74%-91.33M
97.42%-7.11M
-38.27%108.57M
-78.19%17.82M
177.71%44.39M
-628.16%-275.35M
70.22%175.86M
222.80%81.70M
-128.81%-57.12M
-495.67%-37.81M
25.00%103.32M
-204.00%-66.53M
878.21%198.29M
248.70%9.56M
-51.61%82.65M
7.00%63.97M
163.69%20.27M
-112.95%-6.43M
207.17%170.82M
19.67%59.79M
-199.51%-31.83M
440.04%49.65M
-17.63%55.61M
400.71%49.96M
-60.68%31.99M
-56.70%-14.60M
62.36%67.51M
-73.29%9.98M
--81.34M
---9.32M
--41.58M
--37.36M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
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361.00%2.68M
146.99%1.07M
71.22%-316.73K
163.59%86.73K
--582.00K
--432.00K
---1.10M
---136.39K
-Änderung bei anderen kurzfristigen Vermögenswerten
16.30%1.46M
-97.99%199.00K
181.47%3.15M
71.66%-2.10M
-23.99%1.26M
201.86%9.88M
51.77%-3.87M
-635.95%-7.41M
149.60%1.66M
-87.17%3.27M
59.38%-8.02M
57.35%-1.01M
-153.81%-3.34M
937.98%25.52M
-2948.77%-19.76M
41.83%-2.36M
179.37%6.20M
42.14%2.46M
-80.50%-648.00K
-31.74%-4.06M
-2239.22%-7.81M
327.33%1.73M
52.58%-359.00K
-28.03%-3.08M
45.02%-334.00K
-38.84%-761.00K
-373.13%-757.00K
-894.10%-2.41M
-1803.11%-607.51K
---548.10K
---160.00K
---242.08K
---31.92K
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-125.53%-1.17M
88.25%-1.37M
-135.24%-2.28M
-114.56%-818.00K
196.37%4.59M
-815.53%-11.67M
-20.15%6.47M
260.65%5.62M
-488.90%-4.76M
14.83%-1.27M
29918.52%8.11M
-531.23%-3.50M
128.02%1.23M
-355.02%-1.50M
102.54%27.00K
-373.50%-554.00K
-156.68%-4.37M
80.82%-329.00K
-164.46%-1.06M
-105.95%-117.00K
10248.68%7.71M
---1.71M
--1.65M
--1.97M
---76.00K
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
116.63%41.43M
-314.76%-85.31M
98.78%-3.30M
-37.41%113.04M
-76.89%19.13M
178.47%39.73M
-792.12%-271.69M
63.12%180.59M
236.03%82.77M
-126.12%-50.62M
-532.85%-30.45M
23.73%110.71M
-185.25%-60.85M
863.37%193.84M
868.12%7.04M
-49.52%89.47M
10.08%71.38M
172.68%20.12M
-101.68%-916.00K
190.38%177.24M
17.98%64.84M
-180.56%-27.68M
611.05%54.58M
-14.90%61.04M
297.77%54.96M
-59.14%34.36M
-57.88%-10.68M
60.27%71.73M
-65.94%13.82M
--84.11M
---6.76M
--44.76M
--40.57M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
14.29%16.00K
-79.75%16.00K
34.88%58.00K
70.97%53.00K
-76.27%14.00K
113.51%79.00K
-25.86%43.00K
-22.50%31.00K
90.32%59.00K
-35.09%37.00K
-77.43%58.00K
-73.68%40.00K
63.16%31.00K
-8.06%57.00K
233.77%257.00K
210.20%152.00K
-88.48%19.00K
-16.22%62.00K
-44.20%77.00K
508.33%49.00K
48.65%165.00K
-66.21%74.00K
2.22%138.00K
-107.11%-12.00K
-49.60%111.00K
101.34%219.00K
1587.50%135.00K
290.54%168.76K
-35.37%220.24K
--108.77K
--8.00K
--43.21K
--340.79K
Investitionsausgaben
14.29%16.00K
-79.75%16.00K
34.88%58.00K
70.97%53.00K
-76.27%14.00K
113.51%79.00K
-25.86%43.00K
-22.50%31.00K
90.32%59.00K
-35.09%37.00K
-77.43%58.00K
-73.68%40.00K
63.16%31.00K
-8.06%57.00K
233.77%257.00K
210.20%152.00K
-88.48%19.00K
-16.22%62.00K
-44.20%77.00K
--49.00K
48.65%165.00K
-66.21%74.00K
2.22%138.00K
----
-49.60%111.00K
101.34%219.00K
1587.50%135.00K
290.54%168.76K
-35.37%220.24K
--108.77K
--8.00K
--43.21K
--340.79K
Netto-Cashflow aus der Veräußerung von Anlagevermögen
14.29%16.00K
-79.75%16.00K
34.88%58.00K
70.97%53.00K
-76.27%14.00K
113.51%79.00K
-25.86%43.00K
-22.50%31.00K
90.32%59.00K
-35.09%37.00K
-77.43%58.00K
-73.68%40.00K
63.16%31.00K
-8.06%57.00K
233.77%257.00K
210.20%152.00K
-88.48%19.00K
-16.22%62.00K
-44.20%77.00K
508.33%49.00K
48.65%165.00K
-66.21%74.00K
2.22%138.00K
-107.11%-12.00K
-49.60%111.00K
101.34%219.00K
1587.50%135.00K
290.54%168.76K
-35.37%220.24K
--108.77K
--8.00K
--43.21K
--340.79K
Netto-Cashflow aus Geschäftstransaktionen
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--5.17M
----
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----
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Netto-Cashflow aus Anlageprodukten
-15.03%2.35M
-95.29%2.60M
-38.39%3.64M
-9.11%4.58M
-93.37%2.76M
633.83%55.13M
-26.82%5.92M
-47.85%5.04M
217.84%41.64M
114.99%7.51M
111.26%8.08M
114.82%9.66M
-232.74%-35.34M
-216.94%-50.10M
-783.70%-71.82M
-532.51%-65.18M
-248.28%-10.62M
32.41%-15.81M
24.53%10.50M
395.45%15.07M
157.23%7.16M
-1302.47%-23.39M
72.46%8.44M
-9753.20%-5.10M
-244.46%-12.52M
745.83%1.94M
186.23%4.89M
99.23%-51.77K
-187.69%-3.63M
---301.16K
---5.67M
---6.75M
--4.14M
Netto-Cashflow aus anderen Investitionstätigkeiten
-942.13%-39.18M
57.09%88.86M
-97.12%842.00K
-6215.64%-116.71M
111.01%4.65M
137.81%56.56M
-66.56%29.26M
99.23%-1.85M
-148.54%-42.25M
-9.75%-149.61M
8.14%87.48M
-1409.41%-240.50M
232.28%87.04M
-1241.33%-136.32M
388.90%80.90M
91.61%-15.93M
-16.42%-65.80M
-127.80%-10.16M
62.11%-28.00M
-246.80%-189.86M
-46.29%-56.52M
104331.43%36.55M
-93.33%-73.91M
10.85%-54.75M
-73.79%-38.64M
100.06%35.00K
-67.43%-38.23M
-50.39%-61.41M
-47.89%-22.23M
---55.88M
---22.84M
---40.83M
---15.03M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-597.91%-36.84M
-18.07%91.44M
-87.39%4.43M
-3652.50%-112.19M
1202.83%7.40M
178.52%111.61M
-63.22%35.13M
101.37%3.16M
-101.30%-671.00K
23.78%-142.14M
982.01%95.51M
-184.09%-230.88M
167.60%51.68M
-616.33%-186.47M
150.22%8.83M
53.52%-81.27M
-54.35%-76.44M
-298.88%-26.03M
73.21%-17.58M
-192.20%-174.84M
3.39%-49.53M
88.79%13.09M
-96.01%-65.62M
2.92%-59.84M
-96.52%-51.26M
112.32%6.93M
-17.40%-33.48M
-29.40%-61.63M
-132.29%-26.09M
---56.29M
---28.52M
---47.63M
---11.23M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
100.76%211.00K
94.69%-8.02M
-100.54%-1.26M
101.27%2.40M
63.67%-27.63M
-180.16%-150.85M
463.04%235.85M
-264.10%-188.76M
-5414.88%-76.06M
1533.00%188.20M
-528.46%-64.96M
194866.10%115.03M
74.73%1.43M
-383.96%-13.13M
-168.91%-10.34M
7.27%59.00K
111.58%819.00K
-54.15%4.63M
-1.74%15.00M
-90.77%55.00K
-2701.10%-7.08M
124.72%10.09M
-67.37%15.27M
104.95%596.00K
-97.92%272.00K
-48.20%-40.80M
39.49%46.78M
-385.70%-12.04M
148.58%13.10M
---27.53M
--33.54M
--4.22M
---26.97M
Netto-Cashflow aus Schuldenemission/Rückzahlung
100.00%1.00K
94.69%-8.02M
-100.53%-1.25M
100.68%1.28M
63.16%-28.00M
-179.93%-150.88M
462.89%235.88M
-264.35%-189.00M
---76.00M
1517.79%188.75M
-519.05%-65.00M
--115.00M
----
-395.19%-13.31M
-170.00%-10.50M
--0.00
--0.00
-54.90%4.51M
0.00%15.00M
--0.00
--0.00
123.49%10.00M
0.00%15.00M
----
-100.00%0.00
-57.69%-42.58M
-36.17%15.00M
-404.88%-12.50M
146.30%12.50M
---27.00M
--23.50M
--4.10M
---27.00M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-40.15%237.00K
-100.00%0.00
--115.00K
319.41%1.15M
4060.00%396.00K
103.79%21.00K
-100.00%0.00
810.00%273.00K
-100.70%-10.00K
-407.78%-554.00K
-77.91%36.00K
-49.15%30.00K
74.73%1.43M
56.52%180.00K
--163.00K
7.27%59.00K
111.58%819.00K
32.18%115.00K
-100.00%0.00
-90.77%55.00K
-2701.10%-7.08M
-95.10%87.00K
-99.17%265.00K
30.62%596.00K
-54.57%272.00K
2425.58%1.78M
216.48%31.78M
295.04%456.28K
1635.61%598.72K
--70.36K
--10.04M
--115.50K
--34.50K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
0.00%-27.00K
---1.00K
-320.00%-126.00K
32.43%-25.00K
41.30%-27.00K
--0.00
---30.00K
---37.00K
---46.00K
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---600.25K
---4.00K
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Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
100.76%211.00K
94.69%-8.02M
-100.54%-1.26M
101.27%2.40M
63.67%-27.63M
-180.16%-150.85M
463.04%235.85M
-264.10%-188.76M
-5414.88%-76.06M
1533.00%188.20M
-528.46%-64.96M
194866.10%115.03M
74.73%1.43M
-383.96%-13.13M
-168.91%-10.34M
7.27%59.00K
111.58%819.00K
-54.15%4.63M
-1.74%15.00M
-90.77%55.00K
-2701.10%-7.08M
124.72%10.09M
-67.37%15.27M
104.95%596.00K
-97.92%272.00K
-48.20%-40.80M
39.49%46.78M
-385.70%-12.04M
148.58%13.10M
---27.53M
--33.54M
--4.22M
---26.97M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
1.48%8.16M
32.95%10.05M
23.03%10.19M
-47.85%6.94M
10.88%8.04M
-36.04%7.56M
-29.40%8.28M
-21.16%13.30M
-70.53%7.25M
-61.10%11.82M
-52.81%11.73M
1.66%16.87M
18.13%24.61M
37.34%30.38M
-2.96%24.86M
-28.35%16.59M
39.68%20.84M
13.88%22.12M
68.50%25.61M
72.77%23.16M
58.09%14.92M
117.29%19.42M
140.90%15.20M
62.30%13.40M
27.03%9.44M
25.12%8.94M
-28.97%6.31M
9.47%8.26M
43.54%7.43M
--7.14M
--8.88M
--7.54M
--5.17M
Änderungen des Cashflows im aktuellen Zeitraum
533.63%4.80M
-492.12%-1.89M
81.00%-137.00K
164.79%3.25M
-118.29%-1.11M
110.55%482.00K
-901.11%-721.00K
2.34%-5.02M
178.09%6.05M
20.84%-4.57M
-98.37%90.00K
-162.19%-5.14M
-82.56%-7.74M
-348.60%-5.77M
258.25%5.53M
236.58%8.26M
-151.47%-4.24M
71.47%-1.29M
-182.69%-3.49M
36.62%2.46M
107.66%8.24M
-1008.87%-4.51M
60.63%4.22M
192.21%1.80M
377.73%3.97M
75.19%496.00K
251.09%2.63M
-245.51%-1.95M
-64.96%830.80K
--283.13K
---1.74M
--1.34M
--2.37M
Endbestand an Zahlungsmitteln
86.81%12.96M
1.48%8.16M
32.95%10.05M
23.03%10.19M
-47.85%6.94M
10.88%8.04M
-36.04%7.56M
-29.40%8.28M
-21.16%13.30M
-70.53%7.25M
-61.10%11.82M
-52.81%11.73M
1.66%16.87M
18.13%24.61M
37.34%30.38M
-2.96%24.86M
-28.35%16.59M
39.68%20.84M
13.88%22.12M
68.50%25.61M
72.77%23.16M
58.09%14.92M
117.29%19.42M
140.90%15.20M
62.31%13.40M
27.03%9.44M
25.13%8.94M
-28.97%6.31M
9.45%8.26M
--7.43M
--7.14M
--8.88M
--7.55M
Freier Cashflow
116.70%41.41M
-315.22%-85.33M
98.76%-3.36M
-37.42%112.98M
-76.90%19.11M
178.26%39.65M
-790.56%-271.74M
63.15%180.56M
235.86%82.72M
-126.14%-50.66M
-550.11%-30.51M
23.90%110.67M
-185.32%-60.88M
866.06%193.78M
782.68%6.78M
-49.59%89.32M
10.33%71.36M
172.26%20.06M
-101.82%-993.00K
190.30%177.19M
17.92%64.68M
-181.30%-27.76M
603.39%54.44M
-14.70%61.04M
303.39%54.85M
-59.35%34.14M
-59.69%-10.81M
60.05%71.56M
-66.20%13.60M
--84.00M
---6.77M
--44.71M
--40.23M
Währungseinheit
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Prüfungsmeinungen
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