Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
美國原油ETF
USO
5
Power Shares德銀石油基金
DBO
| (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 | -99.71%2.1萬 | 114.34%720.4萬 | 343.64%624.7萬 | -136.58%-186.5萬 | -46.76%-449.1萬 | 88.14%731.3萬 | 129.75%336.1萬 | -25.13%-256.4萬 | 172.68%509.8萬 | 9.31%-306萬 |
| 持續經營淨收入 | -13.31%466.4萬 | 190.80%3,052.8萬 | -31.72%302.5萬 | 703.91%2,035.5萬 | -10.44%176.8萬 | 244.43%538萬 | -57.52%1,049.8萬 | 110.55%443萬 | 96.74%253.2萬 | 9,500.00%197.4萬 |
| 持續經營損益 | ---- | 94.35%-7,000 | --0 | --0 | --0 | ---7,000 | 97.28%-12.4萬 | ---9萬 | --0 | ---- |
| 折舊和攤銷 | 150.40%63.1萬 | 106.06%183.6萬 | 174.67%62.9萬 | 164.09%58.1萬 | 68.47%37.4萬 | 14.55%25.2萬 | 21.39%89.1萬 | 12.25%22.9萬 | 21.55%22萬 | 28.32%22.2萬 |
| 遞延稅費 | 11,128.57%157.2萬 | -4,591.97%-1,118.5萬 | 9,825.00%158.8萬 | -75,329.41%-1,278.9萬 | -71.43%2,000 | -93.30%1.4萬 | 139.42%24.9萬 | -70.37%1.6萬 | -66.00%1.7萬 | 16.67%7,000 |
| 其他非現金項目 | 44.04%251.5萬 | -6.67%755.1萬 | 25.58%237.6萬 | -22.50%160.5萬 | -13.47%182.4萬 | -13.56%174.6萬 | -19.15%809.1萬 | -5.78%189.2萬 | 6.42%207.1萬 | -16.71%210.8萬 |
| 營運資金變化 | -1,504.37%-1,063.7萬 | -34.87%-2,486.4萬 | 77.56%-214.8萬 | -4,914.80%-1,253.7萬 | -21.02%-951.6萬 | 11.84%-66.3萬 | -39.98%-1,843.6萬 | -34.73%-957.1萬 | 97.70%-25萬 | -186.55%-786.3萬 |
| -應收款項(增)減 | -869.79%-1,258.6萬 | -79.61%-3,892.6萬 | -80.02%-1,894.5萬 | -106.69%-1,232.1萬 | -130.13%-929.5萬 | 242.30%163.5萬 | -229.63%-2,167.3萬 | -32.13%-1,052.4萬 | -1,147.07%-596.1萬 | -311.47%-403.9萬 |
| -存貨(增)減 | -1,049.72%-407萬 | 376.22%306.6萬 | 550.52%260.4萬 | -36.19%-98.6萬 | 19.34%180.2萬 | 73.14%-35.4萬 | -157.28%-111萬 | -121.30%-57.8萬 | -130.39%-72.4萬 | 155.58%151萬 |
| -應付款項及應計費用(減)增 | 791.27%577.9萬 | 105.03%1,291.9萬 | 570.50%1,563.6萬 | -97.64%16萬 | 55.41%-204.1萬 | -146.97%-83.6萬 | 246.33%630.1萬 | 307.29%233.2萬 | 160.57%676.6萬 | -168.45%-457.7萬 |
| -其他流動資產變化 | 222.78%66.3萬 | -184.31%-47.3萬 | -315.63%-119.7萬 | 445.96%87.9萬 | 329.17%38.5萬 | -163.08%-54萬 | 167.11%56.1萬 | -1,166.67%-28.8萬 | 118.79%16.1萬 | -136.21%-16.8萬 |
| -其他流動負債變化 | 25.53%-42.3萬 | 42.35%-145萬 | 52.05%-24.6萬 | 45.33%-26.9萬 | 37.69%-36.7萬 | 38.33%-56.8萬 | 25.83%-251.5萬 | 32.05%-51.3萬 | 34.40%-49.2萬 | 15.37%-58.9萬 |
| 非持續經營活動現金淨額 | ||||||||||
| 經營活動現金淨額 | -99.71%2.1萬 | 114.34%720.4萬 | 343.64%624.7萬 | -136.58%-186.5萬 | -46.76%-449.1萬 | 88.14%731.3萬 | 129.75%336.1萬 | -25.13%-256.4萬 | 172.68%509.8萬 | 9.31%-306萬 |
| 投資活動現金流量 | ||||||||||
| 持續投資活動現金淨額 | -69.54%-100.2萬 | -8.87%-197.7萬 | 78.88%-28.7萬 | -48.09%-38.8萬 | -1,553.49%-71.1萬 | -288.82%-59.1萬 | -79.09%-181.6萬 | -177.91%-135.9萬 | -12.45%-26.2萬 | 68.15%-4.3萬 |
| 資本性支出 | -67.56%-100.2萬 | -2.27%-198.4萬 | 80.19%-28.7萬 | -48.09%-38.8萬 | -823.38%-71.1萬 | -293.42%-59.8萬 | -79.46%-194萬 | -196.93%-144.9萬 | 12.96%-26.2萬 | 42.96%-7.7萬 |
| 其他投資活動的淨現金流 | ---- | -94.35%7,000 | --0 | --0 | --0 | --7,000 | 85.07%12.4萬 | 9,100.00%9萬 | --0 | ---- |
| 非持續投資活動現金淨額 | ||||||||||
| 投資活動現金淨額 | -69.54%-100.2萬 | -8.87%-197.7萬 | 78.88%-28.7萬 | -48.09%-38.8萬 | -1,553.49%-71.1萬 | -288.82%-59.1萬 | 10.45%-181.6萬 | 9.58%-135.9萬 | -12.45%-26.2萬 | 68.15%-4.3萬 |
| 融資活動現金流量 | ||||||||||
| 持續融資活動現金淨額 | 118.48%89.2萬 | -20.12%-374.3萬 | -249.95%-481.8萬 | 139.77%181.5萬 | 54.50%408.8萬 | -9.45%-482.8萬 | -152.56%-311.6萬 | -19.74%321.3萬 | -262.25%-456.4萬 | 3,880.00%264.6萬 |
| 債務發行/償還的淨現金流 | 126.82%129.7萬 | 44.46%-161.3萬 | -201.42%-336.6萬 | 135.59%157.3萬 | 90.58%501.6萬 | -9.04%-483.6萬 | -139.73%-290.4萬 | -18.41%331.9萬 | -233.25%-442萬 | 4,974.07%263.2萬 |
| 普通股發行/償還的淨現金流 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 73.33%2.6萬 | 123.08%2.9萬 |
| 職工行使股票期權收到的現金 | 64.52%5.1萬 | -31.58%7.8萬 | 69.23%4.4萬 | 447.73%48.2萬 | -1,351.52%-47.9萬 | -6.06%3.1萬 | 48.05%11.4萬 | -96.25%2.6萬 | --8.8萬 | ---3.3萬 |
| 其他融資活動的淨現金流額 | -1,882.61%-45.6萬 | -577.30%-220.8萬 | -1,033.33%-149.6萬 | -1.18%-17.2萬 | -3,346.67%-51.7萬 | -155.56%-2.3萬 | 77.66%-32.6萬 | 81.43%-13.2萬 | -273.47%-17萬 | 97.68%-1.5萬 |
| 非持續融資活動現金淨額 | ||||||||||
| 融資活動現金淨額 | 118.48%89.2萬 | -20.12%-374.3萬 | -249.95%-481.8萬 | 139.77%181.5萬 | 54.50%408.8萬 | -9.45%-482.8萬 | -152.56%-311.6萬 | -19.74%321.3萬 | -262.25%-456.4萬 | 3,880.00%264.6萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | 29.49%583.5萬 | -24.73%440.4萬 | -7.88%460.3萬 | 5.25%502.8萬 | 19.48%635.5萬 | -24.31%450.6萬 | -52.78%585.1萬 | 12.22%499.7萬 | -45.97%477.7萬 | -57.56%531.9萬 |
| 當期現金流變化 | -104.70%-8.9萬 | 194.33%148.2萬 | 260.56%114萬 | -261.03%-43.8萬 | -143.76%-111.4萬 | 380.18%189.4萬 | 75.39%-157.1萬 | -148.46%-71萬 | 106.13%27.2萬 | 87.23%-45.7萬 |
| 利率變動影響 | 175.56%3.4萬 | -225.00%-15.5萬 | -111.02%-1.3萬 | 125.00%1.3萬 | -787.50%-11萬 | -207.14%-4.5萬 | 329.63%12.4萬 | 276.12%11.8萬 | -210.64%-5.2萬 | 223.08%1.6萬 |
| 期末現金流 | -9.05%578萬 | 29.49%583.5萬 | 29.49%583.5萬 | -7.88%460.3萬 | 5.25%502.8萬 | 19.48%635.5萬 | -24.31%450.6萬 | -24.31%450.6萬 | 12.22%499.7萬 | -45.97%477.7萬 |
| 自由現金流 | -114.61%-98.1萬 | 267.35%522萬 | 248.52%596萬 | -146.59%-225.3萬 | -65.83%-520.2萬 | 79.79%671.5萬 | 111.48%142.1萬 | -58.18%-401.3萬 | 166.11%483.6萬 | 10.60%-313.7萬 |
| 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 | -- | -- | -- |