美股市場個股詳情

格雷厄姆控股 (GHC)

添加自選
  • 1093.000
  • -15.650-1.41%
收盤價 05/15 16:00 (美東)
  • 1093.000
  • 0.0000.00%
盤後 17:28 (美東)
47.08億總市值16.16市盈率TTM

格雷厄姆控股 (GHC) 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
47.20%6,773.2萬
-14.69%3.47億
-75.68%2,828.9萬
-25.04%1.78億
82.16%9,479.6萬
4,212.46%4,601.4萬
56.61%4.07億
102.81%1.16億
69.34%2.38億
31.99%5,204.1萬
持續經營淨收入
19.56%3,075.1萬
-58.60%3.03億
-79.90%1.11億
69.43%1.26億
314.71%4,042.3萬
-79.48%2,572.1萬
246.05%7.33億
890.47%5.52億
452.54%7,450.6萬
-115.16%-1,882.7萬
持續經營損益
181.27%4,076.2萬
70.76%-2.67億
84.66%-1.09億
-219.76%-1.18億
133.66%1,015.2萬
62.58%-5,015.8萬
-293.74%-9.13億
-1,537.15%-7.12億
5.93%-3,683.4萬
70.46%-3,015.9萬
折舊和攤銷
-7.58%3,926.3萬
-8.14%1.72億
-1.76%4,366.5萬
-0.80%4,449萬
-13.46%4,151.9萬
-15.28%4,248.1萬
-8.05%1.87億
193.08%4,444.6萬
-70.09%4,484.9萬
-4.83%4,797.9萬
遞延稅費
191.50%274.3萬
-59.33%9,248.9萬
-69.84%6,391.1萬
265.42%2,549.9萬
157.33%213.8萬
-92.32%94.1萬
419.59%2.27億
1,072.70%2.12億
1,421.59%697.8萬
-113.32%-372.9萬
其他非現金項目
583.06%59.9萬
-92.58%14.1萬
-116.26%-30.2萬
143.19%45萬
-77.33%11.7萬
-121.75%-12.4萬
118.40%190.1萬
153.36%185.7萬
55.73%-104.2萬
113.80%51.6萬
營運資金變化
-379.77%-6,845.1萬
-78.23%2,423.8萬
-1,195.09%-9,259.9萬
-35.49%9,447.3萬
-107.41%-210.3萬
143.42%2,446.7萬
261.52%1.11億
70.39%-715萬
192.06%1.46億
146.17%2,839萬
-應收款項(增)減
192.86%4,846.9萬
-198.95%-1,119.8萬
-485,520.00%-2,428.1萬
3.50%-4,765.6萬
12.77%4,418.9萬
-23.11%1,655萬
37.49%1,131.7萬
99.88%-5,000
30.29%-4,938.6萬
8.90%3,918.5萬
-存貨(增)減
-106.02%-215.5萬
325.30%3,528.7萬
-23.15%1,260.5萬
-161.14%-1,056.2萬
-175.99%-256.4萬
224.53%3,580.8萬
113.20%829.7萬
204.41%1,640.2萬
216.03%1,727.5萬
126.04%337.4萬
-應付款項及應計費用(減)增
-2.21%-7,438.5萬
-62.02%528.3萬
-31.75%-2,596.6萬
39.25%8,651.3萬
14.84%1,751.5萬
-66.31%-7,277.9萬
-43.67%1,391萬
-162.42%-1,970.9萬
41.89%6,212.9萬
735.50%1,525.2萬
-其他流動負債變化
-103.69%-1,494.5萬
7.79%-5,764.5萬
-3.67%-1,592.3萬
-5.23%-1,610.7萬
-18.49%-1,827.8萬
55.33%-733.7萬
12.53%-6,251.6萬
12.46%-1,536萬
19.64%-1,530.6萬
17.49%-1,542.6萬
-其他營運資本變化
-148.70%-2,543.5萬
-62.58%5,251.1萬
-438.78%-3,903.4萬
-37.54%8,228.5萬
-207.00%-4,296.5萬
371.64%5,222.5萬
332.02%1.4億
162.91%1,152.2萬
18.53%1.32億
77.93%-1,399.5萬
非持續經營活動現金淨額
經營活動現金淨額
47.20%6,773.2萬
-14.69%3.47億
-75.68%2,828.9萬
-25.04%1.78億
82.16%9,479.6萬
4,212.46%4,601.4萬
56.61%4.07億
102.81%1.16億
69.34%2.38億
31.99%5,204.1萬
投資活動現金流量
持續投資活動現金淨額
156.48%1,050萬
-187.89%-1.79億
-204.24%-8,107.9萬
-1,198.38%-6,704.5萬
38.88%-1,272.7萬
11.32%-1,859萬
59.25%-6,233萬
20.55%-2,665萬
106.33%610.4萬
0.93%-2,082.2萬
固定資產交易的淨現金流
-27.25%-1,850.4萬
13.30%-7,188.1萬
7.64%-3,101萬
12.19%-858.6萬
5.61%-1,774.3萬
29.96%-1,454.2萬
11.27%-8,291.2萬
6.75%-3,357.4萬
40.86%-977.8萬
10.75%-1,879.7萬
業務交易的淨現金流
---1,816.2萬
-29,600.70%-8,464.7萬
-1,022.35%-5,464.9萬
-697.06%-3,445.7萬
427.63%445.9萬
--0
99.68%-28.5萬
205.73%592.5萬
94.65%-432.3萬
67.98%-136.1萬
投資產品交易的淨現金流
1,059.90%4,629.6萬
-261.00%-2,982.3萬
--0
-234.96%-2,500萬
--0
---482.3萬
-66.81%1,852.4萬
--0
--1,852.4萬
--0
其他投資活動的淨現金流
12.26%87萬
194.92%691萬
358.46%458萬
-40.63%99.8萬
183.89%55.7萬
137.00%77.5萬
108.54%234.3萬
91.75%99.9萬
79.98%168.1萬
97.68%-66.4萬
非持續投資活動現金淨額
投資活動現金淨額
156.48%1,050萬
-187.89%-1.79億
-204.24%-8,107.9萬
-1,198.38%-6,704.5萬
38.88%-1,272.7萬
11.32%-1,859萬
59.25%-6,233萬
20.55%-2,665萬
106.33%610.4萬
0.93%-2,082.2萬
融資活動現金流量
持續融資活動現金淨額
-24.95%-1.52億
31.33%-1.65億
293.87%1.25億
34.02%-1.02億
-193.08%-6,678.5萬
-8,076.87%-1.22億
-141.37%-2.41億
-114.58%-6,465.2萬
-1,996.69%-1.55億
-13.49%-2,278.7萬
債務發行/償還的淨現金流
-176.51%-8,401.9萬
204.66%8,083.2萬
583.34%1.43億
-72.37%-1.16億
-429.91%-5,643.8萬
4,308.67%1.1億
-156.66%-7,723.4萬
-166.95%-2,964.1萬
-160.33%-6,719.1萬
17.82%1,710.7萬
普通股發行/償還的淨現金流
-884.52%-3,414.3萬
96.96%-346.8萬
--0
--0
--0
82.68%-346.8萬
40.93%-1.14億
73.85%-1,593.1萬
22.97%-4,865.6萬
35.40%-2,948.6萬
現金股利支付
-4.95%-820萬
-3.34%-3,136萬
-5.81%-785.2萬
-3.62%-784.8萬
-2.25%-784.7萬
-1.76%-781.3萬
1.96%-3,034.7萬
-0.03%-742.1萬
2.75%-757.4萬
2.07%-767.4萬
其他融資活動的淨現金流額
88.32%-2,573.3萬
-996.61%-2.11億
13.59%-1,007.5萬
167.52%2,136萬
8.56%-250萬
-923.70%-2.2億
-60.19%-1,928.5萬
-91.95%-1,165.9萬
1.88%-3,163.3萬
-114.48%-273.4萬
非持續融資活動現金淨額
融資活動現金淨額
-24.95%-1.52億
31.33%-1.65億
293.87%1.25億
34.02%-1.02億
-193.08%-6,678.5萬
-8,076.87%-1.22億
-141.37%-2.41億
-114.58%-6,465.2萬
-1,996.69%-1.55億
-13.49%-2,278.7萬
現金淨流量
期初現金流
4.55%3.11億
47.53%2.98億
-15.99%2.37億
22.24%2.29億
15.62%2.07億
47.53%2.98億
6.02%2.02億
40.66%2.82億
23.12%1.88億
15.68%1.79億
當期現金流變化
21.67%-7,386.3萬
-97.81%226.7萬
190.08%7,255萬
-90.14%873.6萬
81.26%1,528.4萬
-413.38%-9,430.3萬
1,367.67%1.04億
495.42%2,501萬
70.41%8,861.8萬
605.52%843.2萬
利率變動影響
-205.81%-358.5萬
246.01%1,128.5萬
118.68%175.2萬
-116.37%-98.1萬
3,463.00%712.6萬
174.64%338.8萬
-275.90%-772.9萬
-223.79%-938.1萬
259.97%599.1萬
129.67%20萬
期末現金流
13.06%2.34億
4.55%3.11億
4.55%3.11億
-15.99%2.37億
22.24%2.29億
15.62%2.07億
47.53%2.98億
47.53%2.98億
40.66%2.82億
23.12%1.88億
自由現金流
59.05%4,856.1萬
-15.05%2.75億
-94.48%502.6萬
-26.29%1.62億
131.17%7,799.3萬
251.22%3,053.2萬
94.72%3.24億
263.48%9,108萬
82.81%2.19億
60.11%3,373.9萬
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審計意見
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(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 47.20%6,773.2萬-14.69%3.47億-75.68%2,828.9萬-25.04%1.78億82.16%9,479.6萬4,212.46%4,601.4萬56.61%4.07億102.81%1.16億69.34%2.38億31.99%5,204.1萬
持續經營淨收入 19.56%3,075.1萬-58.60%3.03億-79.90%1.11億69.43%1.26億314.71%4,042.3萬-79.48%2,572.1萬246.05%7.33億890.47%5.52億452.54%7,450.6萬-115.16%-1,882.7萬
持續經營損益 181.27%4,076.2萬70.76%-2.67億84.66%-1.09億-219.76%-1.18億133.66%1,015.2萬62.58%-5,015.8萬-293.74%-9.13億-1,537.15%-7.12億5.93%-3,683.4萬70.46%-3,015.9萬
折舊和攤銷 -7.58%3,926.3萬-8.14%1.72億-1.76%4,366.5萬-0.80%4,449萬-13.46%4,151.9萬-15.28%4,248.1萬-8.05%1.87億193.08%4,444.6萬-70.09%4,484.9萬-4.83%4,797.9萬
遞延稅費 191.50%274.3萬-59.33%9,248.9萬-69.84%6,391.1萬265.42%2,549.9萬157.33%213.8萬-92.32%94.1萬419.59%2.27億1,072.70%2.12億1,421.59%697.8萬-113.32%-372.9萬
其他非現金項目 583.06%59.9萬-92.58%14.1萬-116.26%-30.2萬143.19%45萬-77.33%11.7萬-121.75%-12.4萬118.40%190.1萬153.36%185.7萬55.73%-104.2萬113.80%51.6萬
營運資金變化 -379.77%-6,845.1萬-78.23%2,423.8萬-1,195.09%-9,259.9萬-35.49%9,447.3萬-107.41%-210.3萬143.42%2,446.7萬261.52%1.11億70.39%-715萬192.06%1.46億146.17%2,839萬
-應收款項(增)減 192.86%4,846.9萬-198.95%-1,119.8萬-485,520.00%-2,428.1萬3.50%-4,765.6萬12.77%4,418.9萬-23.11%1,655萬37.49%1,131.7萬99.88%-5,00030.29%-4,938.6萬8.90%3,918.5萬
-存貨(增)減 -106.02%-215.5萬325.30%3,528.7萬-23.15%1,260.5萬-161.14%-1,056.2萬-175.99%-256.4萬224.53%3,580.8萬113.20%829.7萬204.41%1,640.2萬216.03%1,727.5萬126.04%337.4萬
-應付款項及應計費用(減)增 -2.21%-7,438.5萬-62.02%528.3萬-31.75%-2,596.6萬39.25%8,651.3萬14.84%1,751.5萬-66.31%-7,277.9萬-43.67%1,391萬-162.42%-1,970.9萬41.89%6,212.9萬735.50%1,525.2萬
-其他流動負債變化 -103.69%-1,494.5萬7.79%-5,764.5萬-3.67%-1,592.3萬-5.23%-1,610.7萬-18.49%-1,827.8萬55.33%-733.7萬12.53%-6,251.6萬12.46%-1,536萬19.64%-1,530.6萬17.49%-1,542.6萬
-其他營運資本變化 -148.70%-2,543.5萬-62.58%5,251.1萬-438.78%-3,903.4萬-37.54%8,228.5萬-207.00%-4,296.5萬371.64%5,222.5萬332.02%1.4億162.91%1,152.2萬18.53%1.32億77.93%-1,399.5萬
非持續經營活動現金淨額
經營活動現金淨額 47.20%6,773.2萬-14.69%3.47億-75.68%2,828.9萬-25.04%1.78億82.16%9,479.6萬4,212.46%4,601.4萬56.61%4.07億102.81%1.16億69.34%2.38億31.99%5,204.1萬
投資活動現金流量
持續投資活動現金淨額 156.48%1,050萬-187.89%-1.79億-204.24%-8,107.9萬-1,198.38%-6,704.5萬38.88%-1,272.7萬11.32%-1,859萬59.25%-6,233萬20.55%-2,665萬106.33%610.4萬0.93%-2,082.2萬
固定資產交易的淨現金流 -27.25%-1,850.4萬13.30%-7,188.1萬7.64%-3,101萬12.19%-858.6萬5.61%-1,774.3萬29.96%-1,454.2萬11.27%-8,291.2萬6.75%-3,357.4萬40.86%-977.8萬10.75%-1,879.7萬
業務交易的淨現金流 ---1,816.2萬-29,600.70%-8,464.7萬-1,022.35%-5,464.9萬-697.06%-3,445.7萬427.63%445.9萬--099.68%-28.5萬205.73%592.5萬94.65%-432.3萬67.98%-136.1萬
投資產品交易的淨現金流 1,059.90%4,629.6萬-261.00%-2,982.3萬--0-234.96%-2,500萬--0---482.3萬-66.81%1,852.4萬--0--1,852.4萬--0
其他投資活動的淨現金流 12.26%87萬194.92%691萬358.46%458萬-40.63%99.8萬183.89%55.7萬137.00%77.5萬108.54%234.3萬91.75%99.9萬79.98%168.1萬97.68%-66.4萬
非持續投資活動現金淨額
投資活動現金淨額 156.48%1,050萬-187.89%-1.79億-204.24%-8,107.9萬-1,198.38%-6,704.5萬38.88%-1,272.7萬11.32%-1,859萬59.25%-6,233萬20.55%-2,665萬106.33%610.4萬0.93%-2,082.2萬
融資活動現金流量
持續融資活動現金淨額 -24.95%-1.52億31.33%-1.65億293.87%1.25億34.02%-1.02億-193.08%-6,678.5萬-8,076.87%-1.22億-141.37%-2.41億-114.58%-6,465.2萬-1,996.69%-1.55億-13.49%-2,278.7萬
債務發行/償還的淨現金流 -176.51%-8,401.9萬204.66%8,083.2萬583.34%1.43億-72.37%-1.16億-429.91%-5,643.8萬4,308.67%1.1億-156.66%-7,723.4萬-166.95%-2,964.1萬-160.33%-6,719.1萬17.82%1,710.7萬
普通股發行/償還的淨現金流 -884.52%-3,414.3萬96.96%-346.8萬--0--0--082.68%-346.8萬40.93%-1.14億73.85%-1,593.1萬22.97%-4,865.6萬35.40%-2,948.6萬
現金股利支付 -4.95%-820萬-3.34%-3,136萬-5.81%-785.2萬-3.62%-784.8萬-2.25%-784.7萬-1.76%-781.3萬1.96%-3,034.7萬-0.03%-742.1萬2.75%-757.4萬2.07%-767.4萬
其他融資活動的淨現金流額 88.32%-2,573.3萬-996.61%-2.11億13.59%-1,007.5萬167.52%2,136萬8.56%-250萬-923.70%-2.2億-60.19%-1,928.5萬-91.95%-1,165.9萬1.88%-3,163.3萬-114.48%-273.4萬
非持續融資活動現金淨額
融資活動現金淨額 -24.95%-1.52億31.33%-1.65億293.87%1.25億34.02%-1.02億-193.08%-6,678.5萬-8,076.87%-1.22億-141.37%-2.41億-114.58%-6,465.2萬-1,996.69%-1.55億-13.49%-2,278.7萬
現金淨流量
期初現金流 4.55%3.11億47.53%2.98億-15.99%2.37億22.24%2.29億15.62%2.07億47.53%2.98億6.02%2.02億40.66%2.82億23.12%1.88億15.68%1.79億
當期現金流變化 21.67%-7,386.3萬-97.81%226.7萬190.08%7,255萬-90.14%873.6萬81.26%1,528.4萬-413.38%-9,430.3萬1,367.67%1.04億495.42%2,501萬70.41%8,861.8萬605.52%843.2萬
利率變動影響 -205.81%-358.5萬246.01%1,128.5萬118.68%175.2萬-116.37%-98.1萬3,463.00%712.6萬174.64%338.8萬-275.90%-772.9萬-223.79%-938.1萬259.97%599.1萬129.67%20萬
期末現金流 13.06%2.34億4.55%3.11億4.55%3.11億-15.99%2.37億22.24%2.29億15.62%2.07億47.53%2.98億47.53%2.98億40.66%2.82億23.12%1.88億
自由現金流 59.05%4,856.1萬-15.05%2.75億-94.48%502.6萬-26.29%1.62億131.17%7,799.3萬251.22%3,053.2萬94.72%3.24億263.48%9,108萬82.81%2.19億60.11%3,373.9萬
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