美股市場個股詳情

Aris Mining (ARIS)

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  • 19.530
  • -0.180-0.91%
交易中 05/14 10:40 (美東)
40.31億總市值22.45市盈率TTM

Aris Mining (ARIS) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額
239.62%1.59億
164.08%3.73億
40.06%1.39億
239.75%1.06億
409.08%7,299.2萬
6,041.68%4,676.1萬
34.90%1.41億
219.99%9,908.4萬
-30.49%3,111.7萬
55.85%1,433.8萬
持續經營淨收入
2,940.93%9,761.4萬
240.76%7,936.6萬
148.63%5,108.8萬
1,986.35%4,200.9萬
7.41%1,408.4萬
531.45%321萬
103.97%2,329.1萬
445.69%2,054.8萬
-116.10%-222.7萬
32.44%1,311.2萬
持續經營損益
-42.24%1,253.2萬
613.49%1.12億
749.95%1,244萬
65.10%2,116.1萬
-23.81%12.8萬
489.22%2,169.5萬
-59.95%1,566.1萬
-111.55%-191.4萬
5,048.65%1,281.7萬
-97.18%16.8萬
折舊和攤銷
53.40%1,615萬
58.72%5,408.4萬
101.39%1,750.7萬
55.52%1,435.6萬
1.18%1,959.7萬
35.64%1,052.8萬
-6.67%3,407.6萬
13.66%869.3萬
-19.18%923.1萬
103.61%1,936.9萬
遞延稅費
255.68%6,405.8萬
127.92%1.28億
173.70%4,643.1萬
115.32%3,408.5萬
35.04%221.6萬
62.93%1,801萬
18.21%5,603.9萬
21.96%1,696.4萬
28.46%1,583萬
-81.82%164.1萬
其他非現金項目
125.29%1,856.6萬
-55.98%2,816.1萬
-92.00%411.6萬
69.97%791.7萬
51.40%221.2萬
66.62%824.1萬
165.47%6,397.9萬
749.95%5,143.9萬
-0.49%465.8萬
-73.40%146.1萬
營運資金變化
-132.16%-3,154.1萬
164.62%1,209.7萬
-71.52%826萬
-43.52%-1,012.1萬
209.20%2,850.8萬
53.70%-1,358.6萬
-136.39%-1,872萬
365.90%2,900.2萬
-476.91%-705.2萬
-222.74%-2,610.6萬
-應收款項(增)減
15.76%-993.4萬
-211.48%-2,306.8萬
-183.01%-1,781.2萬
-88.49%-2,154.3萬
172.30%1,063.3萬
-29.74%-1,179.3萬
-203.65%-740.6萬
299.29%2,145.8萬
-477.57%-1,142.9萬
-167.26%-1,470.6萬
-存貨(增)減
113.65%31.1萬
76.41%-338.3萬
159.58%196.2萬
190.90%149.8萬
----
8.84%-227.8萬
-135.91%-1,434.1萬
-1,501.28%-329.3萬
56.57%-164.8萬
----
-預付費用(增)減
-1,987.40%-530.2萬
-1,039.38%-548.6萬
----
----
----
37.75%-25.4萬
144.58%58.4萬
-569.86%-692.1萬
194.49%108.1萬
147.95%96.1萬
-應付款項及應計費用(減)增
-2,348.44%-1,661.6萬
1,702.46%4,403.4萬
240.44%2,891.7萬
30.19%890.1萬
226.79%1,567.3萬
104.26%73.9萬
131.83%244.3萬
559.63%849.4萬
80.73%683.7萬
-729.06%-1,236.1萬
-其他流動資產變化
----
----
----
225.99%102.3萬
129.14%220.2萬
-92.40%15.3萬
----
----
---81.2萬
--96.1萬
非持續經營活動現金淨額
經營活動現金淨額
239.62%1.59億
164.08%3.73億
40.06%1.39億
239.75%1.06億
798.39%8,171.9萬
6,041.68%4,676.1萬
34.90%1.41億
219.99%9,908.4萬
-30.49%3,111.7萬
-227.18%-1,170.1萬
投資活動現金流量
持續投資活動現金淨額
-27.67%-7,732.1萬
-29.41%-2.57億
-82.17%-9,443.8萬
10.72%-5,490.4萬
21.66%-2,914.6萬
-56.33%-6,056.4萬
-10.26%-1.99億
-13.19%-5,184.2萬
-72.97%-6,149.5萬
-45.37%-3,720.4萬
資本性支出
----
----
----
----
45.24%-2,042.4萬
-4.13%-2,039萬
41.09%-9,998.5萬
66.24%-1,278.4萬
43.74%-3,032.2萬
12.58%-3,729.7萬
固定資產交易的淨現金流
-16.57%-6,473.4萬
-34.42%-2.44億
-77.61%-8,504.5萬
-7.02%-6,181萬
4,748.39%450.9萬
-59.71%-5,553.3萬
-59.56%-1.81億
-22.64%-4,788.2萬
-78.25%-5,775.8萬
100.41%9.3萬
業務交易的淨現金流
----
--0
-1,306,400.00%-1,306.5萬
--1,306.5萬
---1,323.1萬
--0
94.18%-348.1萬
99.98%-1,000
--0
--0
投資產品交易的淨現金流
---164.4萬
---142.9萬
----
----
----
--0
--0
----
----
----
其他投資活動的淨現金流
----
128.34%1,306.5萬
----
----
----
----
---4,610.4萬
----
----
----
非持續投資活動現金淨額
投資活動現金淨額
-27.67%-7,732.1萬
-29.41%-2.57億
-82.17%-9,443.8萬
10.72%-5,490.4萬
-9.83%-4,732萬
-56.33%-6,056.4萬
-10.26%-1.99億
-13.19%-5,184.2萬
-72.97%-6,149.5萬
-68.35%-4,308.4萬
融資活動現金流量
持續融資活動現金淨額
-732.93%-209.5萬
-82.69%2,099.3萬
-154.66%-6,980萬
633.41%5,545.3萬
-180.51%-1,106.1萬
104.55%33.1萬
463.93%1.21億
4,955.25%1.28億
18.57%-1,039.6萬
1,144.71%1,373.8萬
債務發行/償還的淨現金流
-3.76%-480.6萬
-116.08%-1,890.7萬
-103.99%-526.2萬
-0.67%-435.2萬
-100.79%-17.4萬
-6.53%-463.2萬
1,233.88%1.18億
5,805.24%1.32億
-68.41%-432.3萬
916.63%2,200萬
普通股發行/償還的淨現金流
----
----
----
----
-62.50%-2.6萬
-665.11%-1,002.3萬
-162.95%-358.4萬
-193.50%-216.6萬
-253.85%-9.2萬
---1.6萬
現金股利支付
----
--0
--0
--0
-34.31%-855.3萬
--0
--0
--0
--0
---636.8萬
職工行使股票期權收到的現金
-47.84%271.1萬
317.19%1.26億
142.61%346.2萬
1,287.91%5,980.5萬
----
-32.25%519.7萬
922.80%3,023.4萬
124.37%142.7萬
1,225.85%430.9萬
----
其他融資活動的淨現金流額
----
-5,123.40%-5,023.4萬
-853.69%-5,000萬
----
-22.90%-230.8萬
87.54%-23.4萬
230.04%100萬
--663.4萬
---187.8萬
---187.8萬
非持續融資活動現金淨額
融資活動現金淨額
-732.93%-209.5萬
-82.69%2,099.3萬
-154.66%-6,980萬
633.41%5,545.3萬
-11.82%3,500.9萬
104.55%33.1萬
463.93%1.21億
4,955.25%1.28億
18.57%-1,039.6萬
3,119.24%3,970.3萬
現金淨流量
期初現金流
55.18%3.92億
29.76%2.53億
420.37%4.18億
154.95%3.1億
386.10%2.4億
29.76%2.53億
-35.01%1.95億
-61.91%8,030.4萬
-43.24%1.22億
-78.49%4,933.8萬
當期現金流變化
689.33%7,939.4萬
114.47%1.37億
-114.56%-2,546.2萬
360.63%1.06億
560.20%6,940.8萬
71.22%-1,347.2萬
158.54%6,375.8萬
1,101.63%1.75億
-1,047.27%-4,077.4萬
14.82%-1,508.2萬
利率變動影響
5.99%81.4萬
144.45%259.8萬
79.84%-54.5萬
350.26%144.9萬
143.47%92.5萬
338.51%76.8萬
-243.68%-584.5萬
-316.49%-270.4萬
-1,306.25%-57.9萬
-178.79%-212.8萬
期末現金流
96.84%4.72億
55.18%3.92億
55.18%3.92億
420.37%4.18億
865.40%3.1億
62.60%2.4億
29.76%2.53億
29.76%2.53億
-61.91%8,030.4萬
-85.01%3,212.8萬
自由現金流
1,172.46%9,407.6萬
420.97%1.29億
4.94%5,373.1萬
264.82%4,390.9萬
798.39%8,171.9萬
75.33%-877.2萬
-345.96%-4,021.2萬
733.92%5,120.2萬
-315.49%-2,664.1萬
12.08%-1,170.1萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
帶解釋段的無保留意見
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額 239.62%1.59億164.08%3.73億40.06%1.39億239.75%1.06億409.08%7,299.2萬6,041.68%4,676.1萬34.90%1.41億219.99%9,908.4萬-30.49%3,111.7萬55.85%1,433.8萬
持續經營淨收入 2,940.93%9,761.4萬240.76%7,936.6萬148.63%5,108.8萬1,986.35%4,200.9萬7.41%1,408.4萬531.45%321萬103.97%2,329.1萬445.69%2,054.8萬-116.10%-222.7萬32.44%1,311.2萬
持續經營損益 -42.24%1,253.2萬613.49%1.12億749.95%1,244萬65.10%2,116.1萬-23.81%12.8萬489.22%2,169.5萬-59.95%1,566.1萬-111.55%-191.4萬5,048.65%1,281.7萬-97.18%16.8萬
折舊和攤銷 53.40%1,615萬58.72%5,408.4萬101.39%1,750.7萬55.52%1,435.6萬1.18%1,959.7萬35.64%1,052.8萬-6.67%3,407.6萬13.66%869.3萬-19.18%923.1萬103.61%1,936.9萬
遞延稅費 255.68%6,405.8萬127.92%1.28億173.70%4,643.1萬115.32%3,408.5萬35.04%221.6萬62.93%1,801萬18.21%5,603.9萬21.96%1,696.4萬28.46%1,583萬-81.82%164.1萬
其他非現金項目 125.29%1,856.6萬-55.98%2,816.1萬-92.00%411.6萬69.97%791.7萬51.40%221.2萬66.62%824.1萬165.47%6,397.9萬749.95%5,143.9萬-0.49%465.8萬-73.40%146.1萬
營運資金變化 -132.16%-3,154.1萬164.62%1,209.7萬-71.52%826萬-43.52%-1,012.1萬209.20%2,850.8萬53.70%-1,358.6萬-136.39%-1,872萬365.90%2,900.2萬-476.91%-705.2萬-222.74%-2,610.6萬
-應收款項(增)減 15.76%-993.4萬-211.48%-2,306.8萬-183.01%-1,781.2萬-88.49%-2,154.3萬172.30%1,063.3萬-29.74%-1,179.3萬-203.65%-740.6萬299.29%2,145.8萬-477.57%-1,142.9萬-167.26%-1,470.6萬
-存貨(增)減 113.65%31.1萬76.41%-338.3萬159.58%196.2萬190.90%149.8萬----8.84%-227.8萬-135.91%-1,434.1萬-1,501.28%-329.3萬56.57%-164.8萬----
-預付費用(增)減 -1,987.40%-530.2萬-1,039.38%-548.6萬------------37.75%-25.4萬144.58%58.4萬-569.86%-692.1萬194.49%108.1萬147.95%96.1萬
-應付款項及應計費用(減)增 -2,348.44%-1,661.6萬1,702.46%4,403.4萬240.44%2,891.7萬30.19%890.1萬226.79%1,567.3萬104.26%73.9萬131.83%244.3萬559.63%849.4萬80.73%683.7萬-729.06%-1,236.1萬
-其他流動資產變化 ------------225.99%102.3萬129.14%220.2萬-92.40%15.3萬-----------81.2萬--96.1萬
非持續經營活動現金淨額
經營活動現金淨額 239.62%1.59億164.08%3.73億40.06%1.39億239.75%1.06億798.39%8,171.9萬6,041.68%4,676.1萬34.90%1.41億219.99%9,908.4萬-30.49%3,111.7萬-227.18%-1,170.1萬
投資活動現金流量
持續投資活動現金淨額 -27.67%-7,732.1萬-29.41%-2.57億-82.17%-9,443.8萬10.72%-5,490.4萬21.66%-2,914.6萬-56.33%-6,056.4萬-10.26%-1.99億-13.19%-5,184.2萬-72.97%-6,149.5萬-45.37%-3,720.4萬
資本性支出 ----------------45.24%-2,042.4萬-4.13%-2,039萬41.09%-9,998.5萬66.24%-1,278.4萬43.74%-3,032.2萬12.58%-3,729.7萬
固定資產交易的淨現金流 -16.57%-6,473.4萬-34.42%-2.44億-77.61%-8,504.5萬-7.02%-6,181萬4,748.39%450.9萬-59.71%-5,553.3萬-59.56%-1.81億-22.64%-4,788.2萬-78.25%-5,775.8萬100.41%9.3萬
業務交易的淨現金流 ------0-1,306,400.00%-1,306.5萬--1,306.5萬---1,323.1萬--094.18%-348.1萬99.98%-1,000--0--0
投資產品交易的淨現金流 ---164.4萬---142.9萬--------------0--0------------
其他投資活動的淨現金流 ----128.34%1,306.5萬-------------------4,610.4萬------------
非持續投資活動現金淨額
投資活動現金淨額 -27.67%-7,732.1萬-29.41%-2.57億-82.17%-9,443.8萬10.72%-5,490.4萬-9.83%-4,732萬-56.33%-6,056.4萬-10.26%-1.99億-13.19%-5,184.2萬-72.97%-6,149.5萬-68.35%-4,308.4萬
融資活動現金流量
持續融資活動現金淨額 -732.93%-209.5萬-82.69%2,099.3萬-154.66%-6,980萬633.41%5,545.3萬-180.51%-1,106.1萬104.55%33.1萬463.93%1.21億4,955.25%1.28億18.57%-1,039.6萬1,144.71%1,373.8萬
債務發行/償還的淨現金流 -3.76%-480.6萬-116.08%-1,890.7萬-103.99%-526.2萬-0.67%-435.2萬-100.79%-17.4萬-6.53%-463.2萬1,233.88%1.18億5,805.24%1.32億-68.41%-432.3萬916.63%2,200萬
普通股發行/償還的淨現金流 -----------------62.50%-2.6萬-665.11%-1,002.3萬-162.95%-358.4萬-193.50%-216.6萬-253.85%-9.2萬---1.6萬
現金股利支付 ------0--0--0-34.31%-855.3萬--0--0--0--0---636.8萬
職工行使股票期權收到的現金 -47.84%271.1萬317.19%1.26億142.61%346.2萬1,287.91%5,980.5萬-----32.25%519.7萬922.80%3,023.4萬124.37%142.7萬1,225.85%430.9萬----
其他融資活動的淨現金流額 -----5,123.40%-5,023.4萬-853.69%-5,000萬-----22.90%-230.8萬87.54%-23.4萬230.04%100萬--663.4萬---187.8萬---187.8萬
非持續融資活動現金淨額
融資活動現金淨額 -732.93%-209.5萬-82.69%2,099.3萬-154.66%-6,980萬633.41%5,545.3萬-11.82%3,500.9萬104.55%33.1萬463.93%1.21億4,955.25%1.28億18.57%-1,039.6萬3,119.24%3,970.3萬
現金淨流量
期初現金流 55.18%3.92億29.76%2.53億420.37%4.18億154.95%3.1億386.10%2.4億29.76%2.53億-35.01%1.95億-61.91%8,030.4萬-43.24%1.22億-78.49%4,933.8萬
當期現金流變化 689.33%7,939.4萬114.47%1.37億-114.56%-2,546.2萬360.63%1.06億560.20%6,940.8萬71.22%-1,347.2萬158.54%6,375.8萬1,101.63%1.75億-1,047.27%-4,077.4萬14.82%-1,508.2萬
利率變動影響 5.99%81.4萬144.45%259.8萬79.84%-54.5萬350.26%144.9萬143.47%92.5萬338.51%76.8萬-243.68%-584.5萬-316.49%-270.4萬-1,306.25%-57.9萬-178.79%-212.8萬
期末現金流 96.84%4.72億55.18%3.92億55.18%3.92億420.37%4.18億865.40%3.1億62.60%2.4億29.76%2.53億29.76%2.53億-61.91%8,030.4萬-85.01%3,212.8萬
自由現金流 1,172.46%9,407.6萬420.97%1.29億4.94%5,373.1萬264.82%4,390.9萬798.39%8,171.9萬75.33%-877.2萬-345.96%-4,021.2萬733.92%5,120.2萬-315.49%-2,664.1萬12.08%-1,170.1萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --無保留意見--------帶解釋段的無保留意見------
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