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市場行情
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Nexpoint Real Estate Finance Inc
NREF
14.490
USD
+0.300
+2.11%
收盤 09/19, 16:00(美東)
報價延遲15分鐘
USD
0.000
盤後交易 (美東)
256.79M
總市值
4.82
本益比TTM
Nexpoint Real Estate Finance Inc
14.490
+0.300
+2.11%
概覽
公司
財務
分析
財報
利潤表
資產負債表
現金流量表
概覽
公司
財務
分析
財報
利潤表
資產負債表
現金流量表
單季報
單季報+年報
單季報
年報
YOY
隱藏空白列
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
經營活動現金流量(間接法)
持續經營活動現金淨額
144.22%
3.32M
-9.44%
16.04M
39.35%
4.36M
147.22%
14.72M
-199.71%
-7.50M
18.47%
17.71M
-2.10%
3.13M
-26.49%
5.95M
-42.03%
7.53M
-60.36%
14.95M
-73.53%
3.19M
-43.71%
8.10M
-5.70%
12.98M
315.56%
37.72M
1.72%
12.07M
57.64%
14.38M
103.50%
13.77M
76.40%
9.08M
--
11.87M
--
9.13M
--
6.76M
--
5.14M
持續經營淨收入
83.85%
22.27M
277.32%
25.96M
-15.49%
15.16M
236.85%
23.33M
42.90%
12.11M
-256.12%
-14.64M
518.85%
17.93M
-82.10%
-17.05M
13.42%
8.48M
-48.10%
9.38M
-120.43%
-4.28M
-137.17%
-9.36M
-39.01%
7.47M
-27.93%
18.07M
-20.08%
20.96M
118.27%
25.19M
-36.42%
12.25M
209.63%
25.07M
--
26.22M
--
11.54M
--
19.27M
--
-22.87M
持續經營損益
-43.25%
614.00K
-53.45%
1.08M
7.63%
1.11M
130.88%
1.10M
126.36%
1.08M
386.97%
2.32M
125.00%
1.03M
-12.66%
476.00K
-49.47%
478.00K
-49.58%
476.00K
--
460.00K
--
545.00K
--
946.00K
--
944.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
其他非現金項目
140.72%
2.31M
-99.20%
162.00K
-86.96%
-12.46M
-253.05%
-6.83M
-320.88%
-5.67M
10118.91%
20.14M
-8755.84%
-6.67M
1757.99%
4.46M
-495.88%
-1.35M
-102.93%
-201.00K
-96.51%
77.00K
-111.19%
-269.00K
-68.84%
340.00K
606.28%
6.87M
102.20%
2.20M
74.08%
2.40M
-35.71%
1.09M
-23.58%
972.00K
--
1.09M
--
1.38M
--
1.70M
--
1.27M
營運資金變化
24.45%
-11.00M
-26.00%
3.51M
-111.41%
-5.41M
204.23%
3.54M
-269.34%
-14.56M
40.61%
4.75M
60.60%
-2.56M
19.83%
-3.40M
-372.78%
-3.94M
28.85%
3.38M
-144.45%
-6.50M
-818.98%
-4.24M
-124.59%
-834.00K
376.96%
2.62M
-145.11%
-2.66M
270.52%
590.00K
255.69%
3.39M
-491.25%
-946.00K
--
-1.08M
--
-346.00K
--
-2.18M
--
-160.00K
-應收款項(增)減
-33.17%
-10.52M
151.80%
1.57M
-502.94%
-6.15M
254.37%
2.53M
-209.28%
-7.90M
-660.85%
-3.02M
75.28%
-1.02M
70.61%
-1.64M
-391.67%
-2.56M
116.69%
539.00K
-254.47%
-4.13M
-1397.04%
-5.57M
-52.75%
876.00K
-0.69%
-3.23M
48.70%
-1.16M
70.14%
-372.00K
215.95%
1.85M
-17.56%
-3.21M
--
-2.27M
--
-1.25M
--
-1.60M
--
-2.73M
-應付款項及應計費用(減)增
137.17%
1.05M
-132.55%
-1.07M
19.81%
1.61M
81.45%
-1.02M
-216.80%
-2.82M
824.94%
3.28M
232.29%
1.35M
-126.55%
-5.50M
61.82%
2.42M
-121.19%
-453.00K
-135.88%
-1.02M
-214.64%
-2.43M
46.95%
1.49M
20.04%
2.14M
35.91%
-432.00K
-887.76%
-772.00K
358.52%
1.02M
8.86%
1.78M
--
-674.00K
--
98.00K
--
-393.00K
--
1.64M
-其他流動資產變化
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
749.00K
--
369.00K
--
-22.00K
--
--
非持續經營活動現金淨額
經營活動現金淨額
144.22%
3.32M
-9.44%
16.04M
39.35%
4.36M
147.22%
14.72M
-199.71%
-7.50M
18.47%
17.71M
-2.10%
3.13M
-26.49%
5.95M
-42.03%
7.53M
-60.36%
14.95M
-73.53%
3.19M
-43.71%
8.10M
-5.70%
12.98M
315.56%
37.72M
1.72%
12.07M
57.64%
14.38M
103.50%
13.77M
76.40%
9.08M
--
11.87M
--
9.13M
--
6.76M
--
5.14M
投資活動現金流量
持續投資活動現金淨額
120.64%
481.00K
40.32%
355.00K
--
-734.00K
--
263.00K
--
218.00K
--
253.00K
-100.00%
0.00
--
0.00
--
0.00
-100.00%
0.00
519.53%
184.55M
--
0.00
--
0.00
--
184.55M
--
29.79M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
資本性支出
120.64%
481.00K
40.32%
355.00K
--
--
--
263.00K
--
218.00K
--
253.00K
-100.00%
0.00
--
0.00
--
0.00
-100.00%
0.00
519.53%
184.55M
--
0.00
--
0.00
--
184.55M
--
29.79M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
固定資產交易的淨現金流
120.64%
481.00K
40.32%
355.00K
--
-734.00K
--
263.00K
--
218.00K
--
253.00K
-100.00%
0.00
--
0.00
--
0.00
-100.00%
0.00
519.53%
184.55M
--
0.00
--
0.00
--
184.55M
--
29.79M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
投資產品交易的淨現金流
-107.79%
-6.70M
89.97%
-5.89M
-1671.48%
-78.02M
26.95%
54.33M
429710.00%
85.92M
-398.73%
-58.77M
162.13%
4.96M
159.97%
42.80M
99.97%
-20.00K
-1.02%
-11.78M
87.39%
-7.99M
13.95%
-71.37M
29.07%
-66.24M
--
-11.66M
--
-63.38M
40.57%
-82.94M
-83.28%
-93.40M
--
--
--
0.00
--
-139.56M
--
-50.96M
--
--
其他投資活動的淨現金流
174.70%
25.48M
-87.17%
77.53M
207.45%
297.89M
-48.67%
84.86M
-109.35%
-34.11M
669.83%
604.43M
-66.84%
96.89M
-22.38%
165.31M
-35.39%
364.67M
-70.88%
78.52M
-29.50%
292.20M
-9.15%
212.96M
741.74%
564.44M
277.56%
269.62M
890.42%
414.50M
361.22%
234.41M
149.77%
67.06M
130.83%
71.41M
--
41.85M
--
50.83M
--
26.85M
--
30.94M
非持續投資活動現金淨額
投資活動現金淨額
-64.53%
18.30M
-86.93%
71.28M
116.58%
220.60M
-33.24%
138.93M
-85.85%
51.60M
717.32%
545.41M
2.21%
101.86M
46.97%
208.11M
-26.81%
364.65M
-9.08%
66.73M
-68.99%
99.66M
-6.52%
141.59M
1991.42%
498.20M
2.79%
73.40M
667.81%
321.34M
270.70%
151.47M
-9.24%
-26.34M
130.83%
71.41M
--
41.85M
--
-88.73M
--
-24.11M
--
30.94M
融資活動現金流量
持續融資活動現金淨額
44.04%
-31.37M
87.35%
-70.89M
-153.43%
-256.62M
45.11%
-122.25M
85.66%
-56.06M
-808.34%
-560.48M
7.10%
-101.25M
-24.03%
-222.72M
20.60%
-390.92M
39.59%
-61.70M
66.44%
-108.99M
-4.42%
-179.56M
-1873.18%
-492.34M
-3.72%
-102.14M
-749.88%
-324.75M
-277.99%
-171.96M
53.25%
27.77M
-174.41%
-98.47M
--
-38.21M
--
96.61M
--
18.12M
--
-35.88M
債務發行/償還的淨現金流
-198.84%
-16.65M
107.44%
31.92M
-113.93%
-16.84M
-27.14%
-45.79M
162.44%
16.84M
-2359.91%
-428.80M
44.32%
-7.87M
-427.54%
-36.01M
3.98%
-26.97M
-81.59%
18.97M
-113.50%
-14.13M
-56.11%
10.99M
-138.09%
-28.09M
163693.65%
103.06M
16.78%
104.72M
-74.81%
25.05M
24.25%
73.74M
99.93%
-63.00K
--
89.67M
--
99.46M
--
59.35M
--
-95.42M
普通股發行/償還的淨現金流
--
--
--
--
--
--
--
--
--
--
--
--
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
26623.90%
156.49M
-99.25%
573.00K
18.49%
9.13M
--
115.35M
80.79%
-590.00K
9188.41%
76.07M
--
7.71M
-100.00%
0.00
--
-3.07M
--
-837.00K
--
0.00
--
90.61M
優先股發行/償還的淨現金流
71.02%
56.61M
45.33%
39.95M
346.02%
38.35M
--
41.50M
--
33.10M
--
27.49M
--
8.60M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
--
--
--
--
--
--
0.00
--
37.51M
--
--
--
--
現金股利支付
20.41%
13.34M
37.87%
14.05M
3.47%
13.99M
-12.64%
11.08M
-12.59%
11.08M
-19.40%
10.19M
61.53%
13.53M
51.58%
12.68M
51.72%
12.68M
56.67%
12.64M
59.94%
8.37M
60.05%
8.36M
111.49%
8.36M
147.58%
8.07M
81.58%
5.24M
148.27%
5.23M
87.70%
3.95M
181.76%
3.26M
--
2.88M
--
2.10M
--
2.10M
--
1.16M
其他融資活動的淨現金流額
38.91%
-57.99M
13.61%
-128.70M
-198.60%
-264.14M
38.58%
-106.89M
72.98%
-94.92M
-118.99%
-148.99M
55.77%
-88.46M
14.68%
-174.03M
29.73%
-351.27M
65.91%
-68.03M
52.79%
-200.02M
13.38%
-203.96M
-905.17%
-499.88M
-109.78%
-199.60M
-247.46%
-423.65M
-381.51%
-235.46M
-27.11%
-49.73M
-214.85%
-95.15M
--
-121.93M
--
-48.90M
--
-39.12M
--
-30.22M
非持續融資活動現金淨額
融資活動現金淨額
44.04%
-31.37M
87.35%
-70.89M
-153.43%
-256.62M
45.11%
-122.25M
85.66%
-56.06M
-808.34%
-560.48M
7.10%
-101.25M
-24.03%
-222.72M
20.60%
-390.92M
39.59%
-61.70M
66.44%
-108.99M
-4.42%
-179.56M
-1873.18%
-492.34M
-3.72%
-102.14M
-749.88%
-324.75M
-277.99%
-171.96M
53.25%
27.77M
-174.41%
-98.47M
--
-38.21M
--
96.61M
--
18.12M
--
-35.88M
現金淨流量
期初現金流
21.78%
23.49M
-57.64%
7.05M
199.61%
38.71M
-66.10%
7.32M
-52.17%
19.29M
-18.17%
16.65M
-51.22%
12.92M
-64.65%
21.58M
-4.47%
40.33M
-38.77%
20.35M
7.74%
26.48M
99.01%
61.05M
172.56%
42.21M
-0.71%
33.23M
36.82%
24.58M
3075.78%
30.68M
7761.42%
15.49M
--
33.47M
--
17.96M
--
966.00K
--
197.00K
--
0.00
當期現金流變化
18.55%
-9.75M
523.01%
16.43M
-948.63%
-31.65M
462.48%
31.39M
36.14%
-11.97M
-86.80%
2.64M
160.80%
3.73M
71.01%
-8.66M
-199.50%
-18.75M
122.50%
19.98M
-170.90%
-6.13M
-389.75%
-29.87M
24.02%
18.84M
149.93%
8.98M
-44.20%
8.65M
-135.88%
-6.10M
1875.42%
15.19M
-9228.93%
-17.98M
--
15.51M
--
17.00M
--
769.00K
--
197.00K
期末現金流
87.78%
13.74M
21.78%
23.49M
-57.64%
7.05M
199.61%
38.71M
-66.10%
7.32M
-52.17%
19.29M
-18.17%
16.65M
-58.57%
12.92M
-64.65%
21.58M
-4.47%
40.33M
-38.77%
20.35M
26.86%
31.18M
99.01%
61.05M
172.56%
42.21M
-0.71%
33.23M
36.82%
24.58M
3075.78%
30.68M
7761.42%
15.49M
--
33.47M
--
17.96M
--
966.00K
--
197.00K
自由現金流
136.74%
2.84M
-10.16%
15.68M
--
--
142.80%
14.45M
-202.60%
-7.72M
16.78%
17.46M
101.72%
3.13M
-26.49%
5.95M
-42.03%
7.53M
110.18%
14.95M
-923.63%
-181.36M
-43.71%
8.10M
-5.70%
12.98M
-1717.85%
-146.84M
-249.28%
-17.72M
57.64%
14.38M
103.50%
13.77M
76.40%
9.08M
--
11.87M
--
9.13M
--
6.76M
--
5.14M
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審計意見
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