美股市場個股詳情

康耐視 (CGNX)

添加自選
  • 64.260
  • -1.830-2.77%
收盤價 05/15 16:00 (美東)
  • 63.870
  • -0.390-0.61%
盤後 19:57 (美東)
106.94億總市值75.60市盈率TTM

康耐視 (CGNX) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/04/05
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/28
(Q2)2025/06/29
(Q1)2025/03/30
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/29
(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
11.34%4,509.3萬
64.68%2.46億
45.71%7,490.2萬
55.47%8,748.5萬
53.53%4,262.5萬
196.87%4,050.2萬
32.03%1.49億
254.73%5,140.4萬
37.17%5,627.1萬
-6.99%2,776.3萬
持續經營淨收入
119.06%5,170.4萬
7.79%1.14億
15.23%3,266.4萬
-40.31%1,766.4萬
11.87%4,051.1萬
96.33%2,360.3萬
-6.24%1.06億
152.44%2,834.6萬
56.43%2,959.1萬
-36.99%3,621.2萬
持續經營損益
5,800.00%153.9萬
-5,355.21%-504.5萬
-5,669.32%-490.1萬
---9.6萬
-310.00%-2.1萬
-1,250.00%-2.7萬
-95.60%9.6萬
-94.36%8.8萬
--0
--1萬
折舊和攤銷
-8.81%723.5萬
-5.80%3,079.3萬
-6.77%732.7萬
-14.57%753.3萬
1.00%799.9萬
-1.95%793.4萬
49.40%3,268.9萬
13.98%785.9萬
72.13%881.8萬
60.52%792萬
遞延稅費
201.09%474萬
286.67%4,014.7萬
129.83%240.6萬
844.39%4,393.4萬
64.23%-150.4萬
-40.68%-468.9萬
-8.74%-2,150.7萬
-58.55%-806.7萬
-1,007.32%-590.2萬
-20.07%-420.5萬
其他非現金項目
-277.78%-1.6萬
319.50%1,564.3萬
2,332.22%1,306.1萬
199.52%187.2萬
-19.61%70.1萬
-99.47%9,000
-43.53%372.9萬
-89.04%53.7萬
140.38%62.5萬
33.13%87.2萬
營運資金變化
-964.60%-3,204.2萬
107.04%174.8萬
11.07%1,076.9萬
-57.82%428.7萬
35.22%-1,701.4萬
120.10%370.6萬
63.31%-2,484.6萬
151.98%969.6萬
146.97%1,016.3萬
38.60%-2,626.6萬
-應收款項(增)減
-36.99%-2,311.8萬
53.61%-1,522.7萬
-24.14%800.3萬
260.29%1,400.1萬
4.17%-2,035.5萬
35.13%-1,687.6萬
-242.14%-3,282.1萬
-63.68%1,055萬
-79.07%388.6萬
-260.26%-2,124.1萬
-存貨(增)減
-99.85%8,000
488.11%486.3萬
-49.99%-701.5萬
-146.77%-106.6萬
-38.18%747萬
150.05%547.4萬
94.45%-125.3萬
51.47%-467.7萬
128.58%227.9萬
3,284.59%1,208.3萬
-預付費用(增)減
-583.45%-1,221.2萬
273.51%565.5萬
-209.07%-320萬
117.00%1,121.9萬
-53.05%-489萬
174.40%252.6萬
-38.68%151.4萬
-34.45%293.4萬
57.53%517萬
42.12%-319.5萬
-應付款項及應計費用(減)增
-67.83%-706.9萬
-9.44%1,085.8萬
104.40%1,664萬
-2.51%890.5萬
40.04%-1,047.5萬
-134.56%-421.2萬
118.22%1,199萬
123.20%814.1萬
233.91%913.4萬
5.45%-1,747.1萬
-其他營運資本變化
-38.38%1,034.9萬
-2.92%-440.1萬
49.54%-365.9萬
-179.18%-2,877.2萬
215.80%1,123.6萬
72.71%1,679.4萬
12.56%-427.6萬
2.71%-725.2萬
-250.19%-1,030.6萬
126.87%355.8萬
非持續經營活動現金淨額
經營活動現金淨額
11.34%4,509.3萬
64.68%2.46億
45.71%7,490.2萬
55.47%8,748.5萬
53.53%4,262.5萬
196.87%4,050.2萬
32.03%1.49億
254.73%5,140.4萬
37.17%5,627.1萬
-6.99%2,776.3萬
投資活動現金流量
持續投資活動現金淨額
-97.61%79.1萬
171.89%2,801.6萬
-981.26%-1,960.8萬
167.51%1,850.3萬
-111.25%-396.6萬
167.49%3,308.7萬
-220.75%-3,896.9萬
101.24%222.5萬
-113.69%-2,740.9萬
103.90%3,523.8萬
固定資產交易的淨現金流
-10.24%-275.7萬
86.45%-203.9萬
298.17%410.8萬
66.99%-145.2萬
51.35%-219.4萬
38.41%-250.1萬
34.81%-1,504.3萬
70.45%-207.3萬
24.87%-439.9萬
4.04%-451萬
業務交易的淨現金流
--1,151.9萬
--0
--0
--0
--0
--0
99.44%-144.4萬
--0
--0
---45萬
投資產品交易的淨現金流
-122.40%-797.1萬
233.68%3,005.5萬
-651.79%-2,371.6萬
186.72%1,995.5萬
-104.41%-177.2萬
180.94%3,558.8萬
-107.20%-2,248.2萬
-94.92%429.8萬
-111.16%-2,301萬
82.87%4,019.8萬
非持續投資活動現金淨額
投資活動現金淨額
-97.61%79.1萬
171.89%2,801.6萬
-981.26%-1,960.8萬
167.51%1,850.3萬
-111.25%-396.6萬
167.49%3,308.7萬
-220.75%-3,896.9萬
101.24%222.5萬
-113.69%-2,740.9萬
103.90%3,523.8萬
融資活動現金流量
持續融資活動現金淨額
41.79%-6,890.1萬
-74.54%-2.07億
32.75%-3,749.6萬
-147.85%-3,757.1萬
40.87%-1,325.6萬
-371.82%-1.18億
5.72%-1.18億
-68.79%-5,575.5萬
30.80%-1,515.9萬
28.48%-2,241.8萬
普通股發行/償還的淨現金流
3.17%-9,899.5萬
-125.43%-1.51億
42.19%-2,500萬
-505.75%-2,400萬
--0
-994.69%-1.02億
15.93%-6,708.5萬
-114.57%-4,324.4萬
62.18%-396.2萬
57.81%-1,054萬
現金股利支付
-4.77%-1,419.6萬
-4.39%-5,462.7萬
-3.60%-1,420.3萬
-4.51%-1,344.3萬
-4.38%-1,343.1萬
-5.14%-1,355萬
-6.62%-5,232.9萬
-6.53%-1,371萬
-6.76%-1,286.3萬
-6.62%-1,286.8萬
職工行使股票期權收到的現金
1,812.02%4,429萬
-144.77%-44.5萬
42.37%170.7萬
-84.39%26萬
-82.32%17.5萬
9.58%-258.7萬
-69.58%99.4萬
15,087.50%119.9萬
168.28%166.6萬
-82.66%99萬
其他融資活動的淨現金流額
----
---38.8萬
--0
----
----
----
----
----
----
----
非持續融資活動現金淨額
融資活動現金淨額
41.79%-6,890.1萬
-74.54%-2.07億
32.75%-3,749.6萬
-147.85%-3,757.1萬
40.87%-1,325.6萬
-371.82%-1.18億
5.72%-1.18億
-68.79%-5,575.5萬
30.80%-1,515.9萬
28.48%-2,241.8萬
現金淨流量
期初現金流
41.29%2.63億
-8.17%1.86億
24.77%2.46億
1.52%1.79億
3.52%1.44億
-8.17%1.86億
11.73%2.03億
-50.17%1.97億
-0.48%1.77億
-15.42%1.39億
當期現金流變化
48.60%-2,301.7萬
904.49%6,683.7萬
937.16%1,779.8萬
399.28%6,841.7萬
-37.40%2,540.3萬
25.94%-4,478.1萬
-142.42%-830.8萬
98.93%-212.6萬
-93.75%1,370.3萬
157.07%4,058.3萬
利率變動影響
-205.51%-256.5萬
221.10%999.4萬
91.29%-77.1萬
-127.13%-183萬
460.94%1,016.4萬
173.05%243.1萬
-586.33%-825.3萬
-270.62%-885.5萬
590.26%674.6萬
-13.87%-281.6萬
期末現金流
65.12%2.37億
41.29%2.63億
41.29%2.63億
24.77%2.46億
1.52%1.79億
3.52%1.44億
-8.17%1.86億
-8.17%1.86億
-50.17%1.97億
-0.48%1.77億
自由現金流
11.41%4,233.6萬
76.64%2.37億
46.57%7,230.6萬
65.86%8,603.3萬
73.87%4,043.1萬
296.59%3,800.1萬
49.20%1.34億
559.86%4,933.1萬
47.50%5,187.2萬
-7.54%2,325.3萬
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
--
--
--
--
無保留意見
--
--
--
(Q1)2026/04/05(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/28(Q2)2025/06/29(Q1)2025/03/30(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/29(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 11.34%4,509.3萬64.68%2.46億45.71%7,490.2萬55.47%8,748.5萬53.53%4,262.5萬196.87%4,050.2萬32.03%1.49億254.73%5,140.4萬37.17%5,627.1萬-6.99%2,776.3萬
持續經營淨收入 119.06%5,170.4萬7.79%1.14億15.23%3,266.4萬-40.31%1,766.4萬11.87%4,051.1萬96.33%2,360.3萬-6.24%1.06億152.44%2,834.6萬56.43%2,959.1萬-36.99%3,621.2萬
持續經營損益 5,800.00%153.9萬-5,355.21%-504.5萬-5,669.32%-490.1萬---9.6萬-310.00%-2.1萬-1,250.00%-2.7萬-95.60%9.6萬-94.36%8.8萬--0--1萬
折舊和攤銷 -8.81%723.5萬-5.80%3,079.3萬-6.77%732.7萬-14.57%753.3萬1.00%799.9萬-1.95%793.4萬49.40%3,268.9萬13.98%785.9萬72.13%881.8萬60.52%792萬
遞延稅費 201.09%474萬286.67%4,014.7萬129.83%240.6萬844.39%4,393.4萬64.23%-150.4萬-40.68%-468.9萬-8.74%-2,150.7萬-58.55%-806.7萬-1,007.32%-590.2萬-20.07%-420.5萬
其他非現金項目 -277.78%-1.6萬319.50%1,564.3萬2,332.22%1,306.1萬199.52%187.2萬-19.61%70.1萬-99.47%9,000-43.53%372.9萬-89.04%53.7萬140.38%62.5萬33.13%87.2萬
營運資金變化 -964.60%-3,204.2萬107.04%174.8萬11.07%1,076.9萬-57.82%428.7萬35.22%-1,701.4萬120.10%370.6萬63.31%-2,484.6萬151.98%969.6萬146.97%1,016.3萬38.60%-2,626.6萬
-應收款項(增)減 -36.99%-2,311.8萬53.61%-1,522.7萬-24.14%800.3萬260.29%1,400.1萬4.17%-2,035.5萬35.13%-1,687.6萬-242.14%-3,282.1萬-63.68%1,055萬-79.07%388.6萬-260.26%-2,124.1萬
-存貨(增)減 -99.85%8,000488.11%486.3萬-49.99%-701.5萬-146.77%-106.6萬-38.18%747萬150.05%547.4萬94.45%-125.3萬51.47%-467.7萬128.58%227.9萬3,284.59%1,208.3萬
-預付費用(增)減 -583.45%-1,221.2萬273.51%565.5萬-209.07%-320萬117.00%1,121.9萬-53.05%-489萬174.40%252.6萬-38.68%151.4萬-34.45%293.4萬57.53%517萬42.12%-319.5萬
-應付款項及應計費用(減)增 -67.83%-706.9萬-9.44%1,085.8萬104.40%1,664萬-2.51%890.5萬40.04%-1,047.5萬-134.56%-421.2萬118.22%1,199萬123.20%814.1萬233.91%913.4萬5.45%-1,747.1萬
-其他營運資本變化 -38.38%1,034.9萬-2.92%-440.1萬49.54%-365.9萬-179.18%-2,877.2萬215.80%1,123.6萬72.71%1,679.4萬12.56%-427.6萬2.71%-725.2萬-250.19%-1,030.6萬126.87%355.8萬
非持續經營活動現金淨額
經營活動現金淨額 11.34%4,509.3萬64.68%2.46億45.71%7,490.2萬55.47%8,748.5萬53.53%4,262.5萬196.87%4,050.2萬32.03%1.49億254.73%5,140.4萬37.17%5,627.1萬-6.99%2,776.3萬
投資活動現金流量
持續投資活動現金淨額 -97.61%79.1萬171.89%2,801.6萬-981.26%-1,960.8萬167.51%1,850.3萬-111.25%-396.6萬167.49%3,308.7萬-220.75%-3,896.9萬101.24%222.5萬-113.69%-2,740.9萬103.90%3,523.8萬
固定資產交易的淨現金流 -10.24%-275.7萬86.45%-203.9萬298.17%410.8萬66.99%-145.2萬51.35%-219.4萬38.41%-250.1萬34.81%-1,504.3萬70.45%-207.3萬24.87%-439.9萬4.04%-451萬
業務交易的淨現金流 --1,151.9萬--0--0--0--0--099.44%-144.4萬--0--0---45萬
投資產品交易的淨現金流 -122.40%-797.1萬233.68%3,005.5萬-651.79%-2,371.6萬186.72%1,995.5萬-104.41%-177.2萬180.94%3,558.8萬-107.20%-2,248.2萬-94.92%429.8萬-111.16%-2,301萬82.87%4,019.8萬
非持續投資活動現金淨額
投資活動現金淨額 -97.61%79.1萬171.89%2,801.6萬-981.26%-1,960.8萬167.51%1,850.3萬-111.25%-396.6萬167.49%3,308.7萬-220.75%-3,896.9萬101.24%222.5萬-113.69%-2,740.9萬103.90%3,523.8萬
融資活動現金流量
持續融資活動現金淨額 41.79%-6,890.1萬-74.54%-2.07億32.75%-3,749.6萬-147.85%-3,757.1萬40.87%-1,325.6萬-371.82%-1.18億5.72%-1.18億-68.79%-5,575.5萬30.80%-1,515.9萬28.48%-2,241.8萬
普通股發行/償還的淨現金流 3.17%-9,899.5萬-125.43%-1.51億42.19%-2,500萬-505.75%-2,400萬--0-994.69%-1.02億15.93%-6,708.5萬-114.57%-4,324.4萬62.18%-396.2萬57.81%-1,054萬
現金股利支付 -4.77%-1,419.6萬-4.39%-5,462.7萬-3.60%-1,420.3萬-4.51%-1,344.3萬-4.38%-1,343.1萬-5.14%-1,355萬-6.62%-5,232.9萬-6.53%-1,371萬-6.76%-1,286.3萬-6.62%-1,286.8萬
職工行使股票期權收到的現金 1,812.02%4,429萬-144.77%-44.5萬42.37%170.7萬-84.39%26萬-82.32%17.5萬9.58%-258.7萬-69.58%99.4萬15,087.50%119.9萬168.28%166.6萬-82.66%99萬
其他融資活動的淨現金流額 -------38.8萬--0----------------------------
非持續融資活動現金淨額
融資活動現金淨額 41.79%-6,890.1萬-74.54%-2.07億32.75%-3,749.6萬-147.85%-3,757.1萬40.87%-1,325.6萬-371.82%-1.18億5.72%-1.18億-68.79%-5,575.5萬30.80%-1,515.9萬28.48%-2,241.8萬
現金淨流量
期初現金流 41.29%2.63億-8.17%1.86億24.77%2.46億1.52%1.79億3.52%1.44億-8.17%1.86億11.73%2.03億-50.17%1.97億-0.48%1.77億-15.42%1.39億
當期現金流變化 48.60%-2,301.7萬904.49%6,683.7萬937.16%1,779.8萬399.28%6,841.7萬-37.40%2,540.3萬25.94%-4,478.1萬-142.42%-830.8萬98.93%-212.6萬-93.75%1,370.3萬157.07%4,058.3萬
利率變動影響 -205.51%-256.5萬221.10%999.4萬91.29%-77.1萬-127.13%-183萬460.94%1,016.4萬173.05%243.1萬-586.33%-825.3萬-270.62%-885.5萬590.26%674.6萬-13.87%-281.6萬
期末現金流 65.12%2.37億41.29%2.63億41.29%2.63億24.77%2.46億1.52%1.79億3.52%1.44億-8.17%1.86億-8.17%1.86億-50.17%1.97億-0.48%1.77億
自由現金流 11.41%4,233.6萬76.64%2.37億46.57%7,230.6萬65.86%8,603.3萬73.87%4,043.1萬296.59%3,800.1萬49.20%1.34億559.86%4,933.1萬47.50%5,187.2萬-7.54%2,325.3萬
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