Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
美國布倫特原油基金有限合伙企業
BNO
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 | -6.30%2,852.1萬 | -4.81%8,507萬 | 38.30%2,390.3萬 | -32.70%1,717.4萬 | -31.54%1,355.3萬 | 13.70%3,044萬 | 35.76%8,937.2萬 | 33.12%1,728.3萬 | 52.68%2,552萬 | 35.22%1,979.7萬 |
| 持續經營淨收入 | -41.28%1,120萬 | 7.28%7,700.8萬 | -6.58%1,893.8萬 | 8.72%1,976.5萬 | 6.42%1,923萬 | 25.02%1,907.5萬 | 9.02%7,178萬 | 9.90%2,027.2萬 | -7.79%1,818萬 | -2.18%1,807萬 |
| 持續經營損益 | -8.17%-33.1萬 | -139.75%-85.1萬 | -137.50%-22.8萬 | 113.94%6.4萬 | 14.00%-38.1萬 | -109.75%-30.6萬 | 1,559.69%214.1萬 | 76.41%-9.6萬 | -261.05%-45.9萬 | 7.71%-44.3萬 |
| 折舊和攤銷 | 28.05%185.8萬 | 2.47%592.6萬 | 3.46%149.6萬 | 3.51%150.6萬 | 2.08%147.3萬 | 0.83%145.1萬 | 0.09%578.3萬 | -1.36%144.6萬 | -1.22%145.5萬 | -6.05%144.3萬 |
| 遞延稅費 | 1,144.50%973.2萬 | -66.97%32.9萬 | -162.36%-39.6萬 | -1.39%-36.6萬 | 171.53%30.9萬 | -32.24%78.2萬 | -73.91%99.6萬 | -52.08%63.5萬 | -121.36%-36.1萬 | -122.97%-43.2萬 |
| 其他非現金項目 | -54.51%-140.6萬 | -17.09%164.5萬 | -59.82%61.4萬 | 166.12%109.1萬 | -72.42%85萬 | 6.76%-91萬 | 195.68%198.4萬 | 0.92%152.8萬 | -131.87%-165萬 | 191.35%308.2萬 |
| 營運資金變動 | -14.47%885.7萬 | -93.15%29.4萬 | 137.23%259.5萬 | -158.88%-493.7萬 | -163.03%-772萬 | 78.21%1,035.6萬 | 122.99%429萬 | 31.74%-697.1萬 | 168.30%838.5萬 | 15.73%-293.5萬 |
| -應收款項(增)減 | 11.11%226.1萬 | 519.92%99.1萬 | 66.56%-20.4萬 | -70.09%-295.1萬 | 205.06%211.1萬 | 43.61%203.5萬 | 87.68%-23.6萬 | 43.88%-61萬 | 51.09%-173.5萬 | 72.57%69.2萬 |
| -其他流動資產變化 | -302.21%-521.3萬 | -21.66%252.8萬 | 122.43%73.6萬 | -97.30%30.9萬 | -249.18%-109.5萬 | 145.60%257.8萬 | -14.83%322.7萬 | 64.34%-328.1萬 | 49.52%1,142.8萬 | 123.50%73.4萬 |
| -其他流動負債變化 | 103.10%1,199.7萬 | -229.84%-255.4萬 | 176.72%223.4萬 | -86.82%-212.6萬 | -104.27%-856.9萬 | -42.16%590.7萬 | 109.85%196.7萬 | -1,349.79%-291.2萬 | 92.98%-113.8萬 | -583.22%-419.5萬 |
| -其他營運資本變化 | -14.63%-18.8萬 | -0.45%-67.1萬 | -1.79%-17.1萬 | 0.59%-16.9萬 | -0.60%-16.7萬 | 0.00%-16.4萬 | -18.02%-66.8萬 | -6.33%-16.8萬 | -11.11%-17萬 | -12.93%-16.6萬 |
| 非持續經營活動現金流 | ||||||||||
| 經營活動現金淨額 | -6.30%2,852.1萬 | -4.81%8,507萬 | 38.30%2,390.3萬 | -32.70%1,717.4萬 | -31.54%1,355.3萬 | 13.70%3,044萬 | 35.76%8,937.2萬 | 33.12%1,728.3萬 | 52.68%2,552萬 | 35.22%1,979.7萬 |
| 投資活動現金流量 | ||||||||||
| 持續投資活動現金淨額 | 1,289.66%2.34億 | -222.55%-3,964萬 | 26.34%-6,661.7萬 | -1,491.05%-5,021.7萬 | 276.27%6,035.1萬 | -89.02%1,684.3萬 | -75.62%3,234.6萬 | -215.89%-9,043.8萬 | 111.56%361萬 | -5.33%-3,423.8萬 |
| 其他金融機構的計息存款收益 | ---- | --0 | --0 | --0 | --0 | --0 | 295.77%50.9萬 | --0 | 204.00%52萬 | -102.01%-5,000 |
| 投資產品交易淨現金流 | 1,259.82%1.66億 | -148.47%-4,373.6萬 | -214.41%-641.6萬 | 116.81%216萬 | -968.77%-5,166.6萬 | -86.69%1,218.6萬 | -68.33%9,022.9萬 | -79.96%560.8萬 | -120.24%-1,284.7萬 | -71.81%594.7萬 |
| 貸款淨收益 | 1,091.23%6,655.4萬 | 121.96%1,255.6萬 | 41.59%-5,581.9萬 | -404.65%-5,092萬 | 394.12%1.14億 | -90.74%558.7萬 | 59.91%-5,718.9萬 | -58.51%-9,555.6萬 | 117.23%1,671.4萬 | 18.30%-3,866萬 |
| 固定資產交易的淨現金流 | -150.05%-272.3萬 | -84.79%-1,017.1萬 | -187.61%-452.7萬 | -136.75%-226.1萬 | -35.82%-229.4萬 | 15.32%-108.9萬 | -89.01%-550.4萬 | -33.05%-157.4萬 | -148.05%-95.5萬 | -131.69%-168.9萬 |
| 業務交易的淨現金流 | ---- | --0 | ---- | ---- | ---- | ---- | --0 | --0 | --0 | --0 |
| 其他投資活動的淨現金流 | 2,744.03%452.2萬 | -60.22%171.1萬 | -86.62%14.5萬 | 351.69%80.4萬 | 256.80%60.3萬 | -94.46%15.9萬 | -46.71%430.1萬 | -77.72%108.4萬 | -94.38%17.8萬 | 102.91%16.9萬 |
| 非持續投資現金淨額 | ||||||||||
| 投資活動現金流淨額 | 1,289.66%2.34億 | -222.55%-3,964萬 | 26.34%-6,661.7萬 | -1,491.05%-5,021.7萬 | 276.27%6,035.1萬 | -89.02%1,684.3萬 | -75.62%3,234.6萬 | -215.89%-9,043.8萬 | 111.56%361萬 | -5.33%-3,423.8萬 |
| 融資活動現金流量 | ||||||||||
| 持續融資活動現金淨額 | -465.19%-9,719.8萬 | 51.43%-6,085.3萬 | -68.41%985萬 | 83.07%-756.6萬 | -77.62%-8,975.3萬 | 143.47%2,661.6萬 | 26.91%-1.25億 | -30.70%3,117.6萬 | -368.82%-4,469.9萬 | -2.21%-5,053.1萬 |
| 為回購而出售的聯邦基金和證券 | 49.34%-1,330.8萬 | -115.02%-2,896.9萬 | --0 | -84.72%-55.6萬 | 15.47%-214.2萬 | -148.36%-2,627.1萬 | -2,008.45%-1,347.3萬 | -100.44%-6萬 | 96.94%-30.1萬 | -166.51%-253.4萬 |
| 存款的增減 | -209.14%-7,240.1萬 | 149.36%4,100.9萬 | -67.86%1,207.6萬 | 207.09%4,065.6萬 | -86.50%-7,805.9萬 | 262.46%6,633.6萬 | -188.01%-8,307.5萬 | -81.53%3,757.6萬 | -212.87%-3,796.4萬 | 71.31%-4,185.4萬 |
| 債務發行/償還的淨現金流 | 299.70%1,215.8萬 | -19,949.28%-4,108.8萬 | 1,766.67%500萬 | -9,900.00%-4,000萬 | --0 | ---608.8萬 | 100.09%20.7萬 | 99.82%-30萬 | -1,500.00%-40萬 | -99.11%90.7萬 |
| 普通股發行/償還的淨現金流 | ---1,573.3萬 | -1.85%-450.5萬 | ---58.7萬 | ---101.5萬 | -186.57%-290.3萬 | --0 | 50.34%-442.3萬 | --0 | --0 | 75.81%-101.3萬 |
| 現金股利支付 | -9.00%-727萬 | -10.03%-2,660.9萬 | -9.92%-663.9萬 | -10.23%-665.1萬 | -10.14%-664.9萬 | -9.85%-667萬 | -10.56%-2,418.3萬 | -10.93%-604萬 | -10.88%-603.4萬 | -10.20%-603.7萬 |
| 其他融資活動的淨現金流額 | 6.80%-64.4萬 | -108.76%-69.1萬 | --0 | --0 | --0 | -108.76%-69.1萬 | -82.87%-33.1萬 | --0 | --0 | --0 |
| 非持續融資活動現金淨額 | ||||||||||
| 融資活動現金流淨額 | -465.19%-9,719.8萬 | 51.43%-6,085.3萬 | -68.41%985萬 | 83.07%-756.6萬 | -77.62%-8,975.3萬 | 143.47%2,661.6萬 | 26.91%-1.25億 | -30.70%3,117.6萬 | -368.82%-4,469.9萬 | -2.21%-5,053.1萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | -11.20%1.22億 | -2.52%1.38億 | -13.66%1.55億 | 0.26%1.96億 | -18.69%2.12億 | -2.52%1.38億 | 23.73%1.41億 | 60.55%1.8億 | 77.80%1.95億 | 46.92%2.6億 |
| 當期現金流變化 | 123.80%1.65億 | -333.23%-1,542.3萬 | 21.71%-3,286.4萬 | -160.83%-4,060.9萬 | 75.61%-1,584.9萬 | -37.88%7,389.9萬 | -113.14%-356萬 | -243.08%-4,197.9萬 | -839.62%-1,556.9萬 | 3.46%-6,497.2萬 |
| 期末現金流 | 35.95%2.88億 | -11.20%1.22億 | -11.20%1.22億 | -13.66%1.55億 | 0.26%1.96億 | -18.69%2.12億 | -2.52%1.38億 | -2.52%1.38億 | 60.55%1.8億 | 77.80%1.95億 |
| 自由現金流 | -11.54%2,579.8萬 | -10.78%7,482.3萬 | 22.96%1,931.3萬 | -39.34%1,490萬 | -36.80%1,144.5萬 | 14.44%2,916.5萬 | 33.77%8,386.6萬 | 33.11%1,570.7萬 | 51.09%2,456.5萬 | 31.52%1,810.8萬 |
| 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 | -- | -- | -- |