Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
上海石油化工股份
00338
5
中國石油化工股份
00386
| (Q2)2026/03/31 | (Q1)2025/12/31 | (FY)2025/09/30 | (Q4)2025/09/30 | (Q3)2025/06/30 | (Q2)2025/03/31 | (Q1)2024/12/31 | (FY)2024/09/30 | (Q4)2024/09/30 | (Q3)2024/06/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動現金流量(間接法) | ||||||||||
| 持續經營活動現金淨額 | 312.38%2,121.7萬 | 22.83%966.4萬 | 327.74%2,565萬 | 472.99%538.6萬 | 435.88%724.5萬 | 210.96%514.5萬 | 359.93%786.8萬 | -51.81%-1,126.3萬 | -590.91%-144.4萬 | -621.40%-215.7萬 |
| 持續經營淨收入 | 389.63%1,643.7萬 | 9,887.50%1,331.1萬 | 996.90%1,733.1萬 | 723.32%589.5萬 | 1,800.62%821.4萬 | 164.75%335.7萬 | -170.83%-13.6萬 | 120.03%158萬 | 116.66%71.6萬 | -118.55%-48.3萬 |
| 持續經營損益 | -132.77%-5.8萬 | -187.82%-55.5萬 | -137.58%-105.9萬 | -125.96%-42.1萬 | -164.24%-144.8萬 | 156.91%17.7萬 | 173.23%63.2萬 | 374.93%281.8萬 | 213.73%162.2萬 | 285.67%225.4萬 |
| 折舊攤銷及損耗 | -7.14%106.7萬 | -13.21%122.9萬 | 64.24%460.2萬 | 30.62%94.7萬 | 39.92%109萬 | 56.97%114.9萬 | 149.74%141.6萬 | -10.54%280.2萬 | 18.46%72.5萬 | -0.64%77.9萬 |
| 資產減值支出 | ---- | ---- | --0 | ---- | ---- | ---- | ---- | -189.23%-265.9萬 | ---- | ---- |
| 資產準備金與勾銷 | ---- | ---- | -62.50%-10.4萬 | ---- | ---- | ---- | ---- | -136.16%-6.4萬 | ---- | ---- |
| 以股票支付的報酬 | -250.58%-130.7萬 | 208.86%111.5萬 | 42.87%361.9萬 | 164.78%154.1萬 | 34.12%84.9萬 | 57.25%86.8萬 | -52.87%36.1萬 | 33.53%253.3萬 | 59.89%58.2萬 | 53.27%63.3萬 |
| 遞延稅費 | 86.33%-6萬 | -139.95%-117.8萬 | -49.05%222.4萬 | 88.43%298.1萬 | -223.80%-326.7萬 | -875.56%-43.9萬 | 1,460.32%294.9萬 | 201.44%436.5萬 | 353.30%158.2萬 | --263.9萬 |
| 其他非現金項目 | -115.38%-2,000 | 53.85%-6,000 | 101.36%4.9萬 | 106.14%3.2萬 | 100.62%1.8萬 | 102.10%1.3萬 | -102.90%-1.3萬 | -133.10%-359.1萬 | -610.78%-52.1萬 | -4,072.60%-290萬 |
| 營運資金變化 | 18,257.14%514萬 | -259.50%-424.9萬 | 94.81%-98.8萬 | -59.92%-547.1萬 | 135.32%179.2萬 | 100.45%2.8萬 | 161.61%266.4萬 | -44.06%-1,902.8萬 | -242.10%-342.1萬 | -71.65%-507.4萬 |
| -應收款項(增)減 | 225.47%260.7萬 | -2,767.38%-940.5萬 | 128.84%153.1萬 | 129.78%43.8萬 | 157.67%62萬 | 145.88%80.1萬 | 67.78%-32.8萬 | -51.08%-530.9萬 | -528.86%-147.1萬 | -172.15%-107.5萬 |
| -存貨(增)減 | -597.10%-144.3萬 | -332.68%-239.2萬 | 66.33%-554.4萬 | 2.34%-405.3萬 | 55.74%-231.1萬 | 93.23%-20.7萬 | 125.47%102.8萬 | -44.84%-1,646.5萬 | -51.85%-415萬 | -72.08%-522.1萬 |
| -預付費用(增)減 | 14,892.31%192.3萬 | 98.18%-4,000 | -4,815.00%-196.6萬 | -1,008.19%-155.3萬 | -56.52%-18萬 | 69.77%-1.3萬 | -315.09%-22萬 | 21.57%-4萬 | -8.56%17.1萬 | -18.56%-11.5萬 |
| -應付款項及應計費用(減)增 | 676.12%371.6萬 | 245.79%755.2萬 | 79.15%499.1萬 | -114.93%-30.3萬 | 173.97%366.3萬 | 52.68%-64.5萬 | 178.93%218.4萬 | 61.51%278.6萬 | 68.66%202.9萬 | 201.67%133.7萬 |
| -其他流動負債變動 | -1,907.61%-166.3萬 | ---- | ---- | ---- | ---- | --9.2萬 | ---- | ---- | ---- | ---- |
| 已付利息(經營活動產生的現金流) | --0 | 40.00%-3,000 | -26.32%-2.4萬 | -133.33%-1.4萬 | 40.00%-3,000 | -100.00%-8,000 | -66.67%-5,000 | 32.14%-1.9萬 | 53.85%-6,000 | -66.67%-5,000 |
| 非持續經營活動現金淨額 | ||||||||||
| 經營活動現金淨額 | 312.38%2,121.7萬 | 22.83%966.4萬 | 327.74%2,565萬 | 472.99%538.6萬 | 435.88%724.5萬 | 210.96%514.5萬 | 359.93%786.8萬 | -51.81%-1,126.3萬 | -590.91%-144.4萬 | -621.40%-215.7萬 |
| 投資活動現金流量 | ||||||||||
| 持續投資活動現金淨額 | -46.29%-443.1萬 | 20.61%-267.3萬 | -19.70%-1,340.2萬 | -12.52%-320.9萬 | -96.48%-379.8萬 | -2.68%-302.9萬 | 1.61%-336.7萬 | 24.86%-1,119.6萬 | -0.71%-285.2萬 | -6.33%-193.3萬 |
| 固定資產交易淨額 | -1,021.31%-68.4萬 | -1,633.33%-15.6萬 | 92.28%-9.3萬 | -15.38%-1.5萬 | 73.53%-9,000 | 87.92%-6.1萬 | 98.62%-9,000 | -16.10%-120.4萬 | 98.71%-1.3萬 | -277.78%-3.4萬 |
| 其他投資活動淨額 | -26.25%-374.7萬 | 25.04%-251.7萬 | -33.20%-1,330.9萬 | -12.50%-319.4萬 | -99.53%-378.9萬 | -21.39%-296.8萬 | -21.23%-335.8萬 | 27.92%-999.2萬 | -55.82%-283.9萬 | -4.98%-189.9萬 |
| 非持續投資活動現金淨額 | ||||||||||
| 投資活動現金淨額 | -46.29%-443.1萬 | 20.61%-267.3萬 | -19.70%-1,340.2萬 | -12.52%-320.9萬 | -96.48%-379.8萬 | -2.68%-302.9萬 | 1.61%-336.7萬 | 24.86%-1,119.6萬 | -0.71%-285.2萬 | -6.33%-193.3萬 |
| 融資活動現金流量 | ||||||||||
| 持續融資活動現金淨額 | 189.87%7.1萬 | 79,510.66%9,712.5萬 | 14,728.39%5,719.7萬 | 20.34%-4.7萬 | 42,165.44%5,720.9萬 | 34.71%-7.9萬 | 207.02%12.2萬 | -100.88%-39.1萬 | 62.42%-5.9萬 | 12.82%-13.6萬 |
| 債務發行/償還的淨額 | 0.00%-9,000 | -44.44%-1.3萬 | 4.88%-3.9萬 | 11.11%-8,000 | -11.11%-1萬 | 18.18%-9,000 | 18.18%-9,000 | 90.57%-4.1萬 | 10.00%-9,000 | 0.00%-9,000 |
| 普通股發行/回購的淨額 | --0 | --9,675.6萬 | --5,729.4萬 | --0 | --5,729.4萬 | --0 | --0 | --0 | --0 | --0 |
| 職工行使股票期權收到的現金 | --8萬 | 79.92%45.7萬 | 21.85%29萬 | -62.89%3.6萬 | --0 | --0 | 477.27%25.4萬 | 325.00%23.8萬 | --9.7萬 | --2萬 |
| 其他融資活動的淨現金流額 | ---- | 39.02%-7.5萬 | 40.82%-34.8萬 | 48.98%-7.5萬 | 48.98%-7.5萬 | 52.38%-7萬 | 16.33%-12.3萬 | 0.00%-58.8萬 | 0.00%-14.7萬 | 0.00%-14.7萬 |
| 非持續融資活動現金淨額 | ||||||||||
| 融資活動現金淨額 | 189.87%7.1萬 | 79,510.66%9,712.5萬 | 14,728.39%5,719.7萬 | 20.34%-4.7萬 | 42,165.44%5,720.9萬 | 34.71%-7.9萬 | 207.02%12.2萬 | -100.88%-39.1萬 | 62.42%-5.9萬 | 12.82%-13.6萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | 221.84%2.46億 | 95.91%1.41億 | -24.36%7,203萬 | 81.90%1.39億 | -3.10%7,831.8萬 | -14.05%7,631.4萬 | -24.36%7,203萬 | 29.84%9,523.3萬 | -22.57%7,643.4萬 | -19.93%8,082.4萬 |
| 當期現金流變化 | 727.54%1,685.7萬 | 2,152.13%1.04億 | 403.92%6,944.5萬 | 148.91%213萬 | 1,535.31%6,065.6萬 | 126.43%203.7萬 | 170.44%462.3萬 | -203.51%-2,285萬 | -36.18%-435.5萬 | -85.92%-422.6萬 |
| 利率變動影響 | -821.21%-30.4萬 | 212.39%38.1萬 | -2.83%-36.3萬 | 0.00%-4.9萬 | 134.76%5.7萬 | 87.06%-3.3萬 | -389.74%-33.9萬 | -88.77%-35.3萬 | 82.93%-4.9萬 | -428.00%-16.4萬 |
| 期末現金流 | 234.74%2.62億 | 221.84%2.46億 | 95.91%1.41億 | 95.91%1.41億 | 81.90%1.39億 | -3.10%7,831.8萬 | -14.05%7,631.4萬 | -24.36%7,203萬 | -24.36%7,203萬 | -22.57%7,643.4萬 |
| 自由現金流 | 303.87%2,053.3萬 | 20.98%950.8萬 | 305.00%2,555.7萬 | 468.63%537.1萬 | 430.26%723.6萬 | 198.87%508.4萬 | 313.62%785.9萬 | -47.43%-1,246.7萬 | -19.52%-145.7萬 | -611.36%-219.1萬 |
| 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 | -- | -- | -- | -- | -- | -- | -- | 帶解釋段的無保留意見 | -- | -- |
FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。
Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。