美股市場個股詳情

iHeartMedia (IHRT)

添加自選
  • 4.785
  • +0.020+0.42%
收盤價 05/15 16:00 (美東)
  • 4.780
  • -0.005-0.10%
盤後 20:01 (美東)
7.23億總市值-2.61市盈率TTM

iHeartMedia (IHRT) 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
-51.84%-9,254萬
29.62%9,258.3萬
12,792.33%1.56億
-109.29%-954.9萬
-74.48%682.1萬
-2.81%-6,094.4萬
-66.48%7,142.9萬
-99.21%121.2萬
6.86%1.03億
-52.92%2,672.9萬
持續經營淨收入
65.96%-9,561.8萬
53.26%-4.72億
-229.21%-4,125.5萬
-59.13%-6,576.1萬
91.45%-8,398.8萬
-1,451.15%-2.81億
8.26%-10.09億
128.47%3,192.8萬
-360.75%-4,132.5萬
-11.21%-9.82億
持續經營損益
-96.49%66.2萬
183.75%5,957.8萬
49.41%2,474.2萬
317.49%1,408.6萬
150.87%187.4萬
120.56%1,887.6萬
-212.36%-7,113.6萬
366.22%1,656萬
133.31%337.4萬
104.21%74.7萬
折舊和攤銷
-11.45%8,137.7萬
-12.09%3.6億
-11.16%8,771.6萬
-11.12%9,006.1萬
-13.40%9,036.9萬
-12.61%9,190.1萬
-4.41%4.1億
-6.37%9,873.3萬
-4.81%1.01億
-3.43%1.04億
遞延稅費
-104.50%-612.4萬
93.16%-1,621萬
101.64%278.6萬
-7,143.16%-1.62億
115.59%638萬
665.69%1.36億
-63.82%-2.37億
-352.34%-1.7億
95.37%-223.1萬
68.88%-4,092.8萬
其他非現金項目
-54.51%-3,899.4萬
-202.38%-1.39億
-379.53%-1.09億
-7.21%-1,283.6萬
266.93%796.9萬
-287.56%-2,523.8萬
2.13%-4,596.5萬
27.63%-2,270.6萬
-61.91%-1,197.3萬
-146.59%-477.4萬
營運資金變化
-165.98%-4,195.1萬
-18.44%4,741萬
398.34%1.84億
-310.50%-9,315.3萬
-312.15%-2,795.1萬
56.53%-1,577.2萬
-17.05%5,812.6萬
-56.83%3,698萬
-14.49%4,425.4萬
945.63%1,317.5萬
-應收款項(增)減
-42.41%9,839.3萬
-40.88%1,678.3萬
-13.16%-1.13億
1,248.62%2,493.6萬
-141.71%-6,578.2萬
11.08%1.71億
191.31%2,838.8萬
-61.73%-1億
-88.93%184.9萬
66.28%-2,721.5萬
-預付費用(增)減
18.42%-3,185.2萬
-383.51%-3,251.9萬
115.55%1.26億
-1,821.82%-8,261.9萬
-410.33%-3,675.9萬
28.34%-3,904.2萬
312.88%1,147萬
13.53%5,840.8萬
-95.94%-429.9萬
167.27%1,184.5萬
-應付款項及應計費用(減)增
32.56%-1.01億
-35.49%2,170.8萬
52.74%1.48億
-165.81%-2,878.6萬
43.15%5,288.3萬
-4.49%-1.5億
-59.21%3,364.8萬
-13.21%9,692.1萬
48.11%4,373.9萬
-55.03%3,694.2萬
-其他流動資產變化
490.10%149.8萬
4.67%85.2萬
86.08%86.9萬
218.32%139.5萬
-188.77%-102.8萬
-204.35%-38.4萬
-88.80%81.4萬
-93.20%46.7萬
-141.40%-117.9萬
225.05%115.8萬
-其他流動負債變化
-996.16%-770.7萬
634.66%1,458.3萬
418.75%755.3萬
1,099.75%977.8萬
-25,671.43%-360.8萬
416.18%86萬
246.93%198.5萬
-22.68%145.6萬
142.94%81.5萬
97.57%-1.4萬
-其他營運資本變化
-135.21%-83.7萬
243.04%2,600.3萬
174.85%1,514萬
-636.41%-1,785.7萬
376.10%2,634.3萬
-71.22%237.7萬
-200.24%-1,817.9萬
16.97%-2,022.7萬
-50.72%332.9萬
-150.45%-954.1萬
非持續經營活動現金淨額
經營活動現金淨額
-51.84%-9,254萬
29.62%9,258.3萬
12,792.33%1.56億
-109.29%-954.9萬
-74.48%682.1萬
-2.81%-6,094.4萬
-66.48%7,142.9萬
-99.21%121.2萬
6.86%1.03億
-52.92%2,672.9萬
投資活動現金流量
持續投資活動現金淨額
-17.23%-2,352.4萬
-13,139.37%-6,624萬
63.65%-836.4萬
46.75%-1,722.8萬
7.06%-2,058.1萬
-125.72%-2,006.7萬
100.99%50.8萬
-102.85%-2,300.9萬
-267.91%-3,235.4萬
-6.26%-2,214.4萬
固定資產交易的淨現金流
-11.06%-2,191.3萬
16.31%-8,167.2萬
26.52%-1,867.9萬
20.92%-2,326.6萬
5.55%-1,999.7萬
8.58%-1,973萬
4.94%-9,759.4萬
-108.12%-2,542萬
-3.16%-2,942萬
7.03%-2,117.2萬
投資產品交易的淨現金流
----
-98.37%165.6萬
--0
--100萬
86.89%65.6萬
--0
2,533.44%1.02億
--0
--0
--35.1萬
其他投資活動的淨現金流
-378.04%-161.1萬
477.01%1,377.6萬
327.83%1,031.5萬
271.71%503.8萬
6.27%-124萬
81.36%-33.7萬
-107.70%-365.4萬
2,033.63%241.1萬
-106.57%-293.4萬
-168.41%-132.3萬
非持續投資活動現金淨額
投資活動現金淨額
-17.23%-2,352.4萬
-13,139.37%-6,624萬
63.65%-836.4萬
46.75%-1,722.8萬
7.06%-2,058.1萬
-125.72%-2,006.7萬
100.99%50.8萬
-102.85%-2,300.9萬
-267.91%-3,235.4萬
-6.26%-2,214.4萬
融資活動現金流量
持續融資活動現金淨額
-77.56%-1,959.9萬
90.33%-1,531.3萬
53.83%-6,920.7萬
-362.83%-1,678.7萬
6,544.72%8,171.9萬
-211.10%-1,103.8萬
-4.07%-1.58億
-1,369.48%-1.5億
94.59%-362.7萬
97.85%-126.8萬
債務發行/償還的淨現金流
-69.28%-1,687萬
91.83%-1,236萬
54.36%-6,880.5萬
-5,923.16%-1,638.3萬
40,885.22%8,279.4萬
-8,878.38%-996.6萬
-1.97%-1.51億
-1,427.88%-1.51億
99.58%-27.2萬
99.65%-20.3萬
其他融資活動的淨現金流額
-154.57%-272.9萬
57.74%-295.3萬
-146.26%-40.2萬
87.96%-40.4萬
-0.94%-107.5萬
68.81%-107.2萬
-87.60%-698.8萬
360.96%86.9萬
-86.70%-335.5萬
14.80%-106.5萬
非持續融資活動現金淨額
融資活動現金淨額
-77.56%-1,959.9萬
90.33%-1,531.3萬
53.83%-6,920.7萬
-362.83%-1,678.7萬
6,544.72%8,171.9萬
-211.10%-1,103.8萬
-4.07%-1.58億
-1,369.48%-1.5億
94.59%-362.7萬
97.85%-126.8萬
現金淨流量
期初現金流
4.37%2.71億
-25.06%2.6億
-55.48%1.92億
-35.32%2.36億
-53.59%1.68億
-25.06%2.6億
2.89%3.46億
102.25%4.32億
120.62%3.65億
91.87%3.61億
當期現金流變化
-47.38%-1.36億
112.77%1,103萬
145.83%7,868.4萬
-165.23%-4,356.4萬
1,948.81%6,795.9萬
-705.98%-9,204.9萬
-1,002.90%-8,640.8萬
-229.53%-1.72億
38.11%6,678.4萬
114.42%331.7萬
利率變動影響
-212.57%-20.6萬
178.93%31.1萬
99.59%-2,000
-154.66%-12.9萬
979.17%25.9萬
208.28%18.3萬
-360.93%-39.4萬
-241.40%-48.5萬
216.83%23.6萬
182.76%2.4萬
期末現金流
-19.47%1.35億
4.37%2.71億
4.37%2.71億
-55.48%1.92億
-35.32%2.36億
-53.59%1.68億
-25.06%2.6億
-25.06%2.6億
102.25%4.32億
120.62%3.65億
自由現金流
-41.87%-1.14億
141.70%1,091.1萬
668.31%1.38億
-144.74%-3,281.5萬
-337.11%-1,317.6萬
0.23%-8,067.4萬
-123.70%-2,616.5萬
-117.06%-2,420.8萬
8.42%7,334.5萬
-83.66%555.7萬
貨幣單位
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會計準則
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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 -51.84%-9,254萬29.62%9,258.3萬12,792.33%1.56億-109.29%-954.9萬-74.48%682.1萬-2.81%-6,094.4萬-66.48%7,142.9萬-99.21%121.2萬6.86%1.03億-52.92%2,672.9萬
持續經營淨收入 65.96%-9,561.8萬53.26%-4.72億-229.21%-4,125.5萬-59.13%-6,576.1萬91.45%-8,398.8萬-1,451.15%-2.81億8.26%-10.09億128.47%3,192.8萬-360.75%-4,132.5萬-11.21%-9.82億
持續經營損益 -96.49%66.2萬183.75%5,957.8萬49.41%2,474.2萬317.49%1,408.6萬150.87%187.4萬120.56%1,887.6萬-212.36%-7,113.6萬366.22%1,656萬133.31%337.4萬104.21%74.7萬
折舊和攤銷 -11.45%8,137.7萬-12.09%3.6億-11.16%8,771.6萬-11.12%9,006.1萬-13.40%9,036.9萬-12.61%9,190.1萬-4.41%4.1億-6.37%9,873.3萬-4.81%1.01億-3.43%1.04億
遞延稅費 -104.50%-612.4萬93.16%-1,621萬101.64%278.6萬-7,143.16%-1.62億115.59%638萬665.69%1.36億-63.82%-2.37億-352.34%-1.7億95.37%-223.1萬68.88%-4,092.8萬
其他非現金項目 -54.51%-3,899.4萬-202.38%-1.39億-379.53%-1.09億-7.21%-1,283.6萬266.93%796.9萬-287.56%-2,523.8萬2.13%-4,596.5萬27.63%-2,270.6萬-61.91%-1,197.3萬-146.59%-477.4萬
營運資金變化 -165.98%-4,195.1萬-18.44%4,741萬398.34%1.84億-310.50%-9,315.3萬-312.15%-2,795.1萬56.53%-1,577.2萬-17.05%5,812.6萬-56.83%3,698萬-14.49%4,425.4萬945.63%1,317.5萬
-應收款項(增)減 -42.41%9,839.3萬-40.88%1,678.3萬-13.16%-1.13億1,248.62%2,493.6萬-141.71%-6,578.2萬11.08%1.71億191.31%2,838.8萬-61.73%-1億-88.93%184.9萬66.28%-2,721.5萬
-預付費用(增)減 18.42%-3,185.2萬-383.51%-3,251.9萬115.55%1.26億-1,821.82%-8,261.9萬-410.33%-3,675.9萬28.34%-3,904.2萬312.88%1,147萬13.53%5,840.8萬-95.94%-429.9萬167.27%1,184.5萬
-應付款項及應計費用(減)增 32.56%-1.01億-35.49%2,170.8萬52.74%1.48億-165.81%-2,878.6萬43.15%5,288.3萬-4.49%-1.5億-59.21%3,364.8萬-13.21%9,692.1萬48.11%4,373.9萬-55.03%3,694.2萬
-其他流動資產變化 490.10%149.8萬4.67%85.2萬86.08%86.9萬218.32%139.5萬-188.77%-102.8萬-204.35%-38.4萬-88.80%81.4萬-93.20%46.7萬-141.40%-117.9萬225.05%115.8萬
-其他流動負債變化 -996.16%-770.7萬634.66%1,458.3萬418.75%755.3萬1,099.75%977.8萬-25,671.43%-360.8萬416.18%86萬246.93%198.5萬-22.68%145.6萬142.94%81.5萬97.57%-1.4萬
-其他營運資本變化 -135.21%-83.7萬243.04%2,600.3萬174.85%1,514萬-636.41%-1,785.7萬376.10%2,634.3萬-71.22%237.7萬-200.24%-1,817.9萬16.97%-2,022.7萬-50.72%332.9萬-150.45%-954.1萬
非持續經營活動現金淨額
經營活動現金淨額 -51.84%-9,254萬29.62%9,258.3萬12,792.33%1.56億-109.29%-954.9萬-74.48%682.1萬-2.81%-6,094.4萬-66.48%7,142.9萬-99.21%121.2萬6.86%1.03億-52.92%2,672.9萬
投資活動現金流量
持續投資活動現金淨額 -17.23%-2,352.4萬-13,139.37%-6,624萬63.65%-836.4萬46.75%-1,722.8萬7.06%-2,058.1萬-125.72%-2,006.7萬100.99%50.8萬-102.85%-2,300.9萬-267.91%-3,235.4萬-6.26%-2,214.4萬
固定資產交易的淨現金流 -11.06%-2,191.3萬16.31%-8,167.2萬26.52%-1,867.9萬20.92%-2,326.6萬5.55%-1,999.7萬8.58%-1,973萬4.94%-9,759.4萬-108.12%-2,542萬-3.16%-2,942萬7.03%-2,117.2萬
投資產品交易的淨現金流 -----98.37%165.6萬--0--100萬86.89%65.6萬--02,533.44%1.02億--0--0--35.1萬
其他投資活動的淨現金流 -378.04%-161.1萬477.01%1,377.6萬327.83%1,031.5萬271.71%503.8萬6.27%-124萬81.36%-33.7萬-107.70%-365.4萬2,033.63%241.1萬-106.57%-293.4萬-168.41%-132.3萬
非持續投資活動現金淨額
投資活動現金淨額 -17.23%-2,352.4萬-13,139.37%-6,624萬63.65%-836.4萬46.75%-1,722.8萬7.06%-2,058.1萬-125.72%-2,006.7萬100.99%50.8萬-102.85%-2,300.9萬-267.91%-3,235.4萬-6.26%-2,214.4萬
融資活動現金流量
持續融資活動現金淨額 -77.56%-1,959.9萬90.33%-1,531.3萬53.83%-6,920.7萬-362.83%-1,678.7萬6,544.72%8,171.9萬-211.10%-1,103.8萬-4.07%-1.58億-1,369.48%-1.5億94.59%-362.7萬97.85%-126.8萬
債務發行/償還的淨現金流 -69.28%-1,687萬91.83%-1,236萬54.36%-6,880.5萬-5,923.16%-1,638.3萬40,885.22%8,279.4萬-8,878.38%-996.6萬-1.97%-1.51億-1,427.88%-1.51億99.58%-27.2萬99.65%-20.3萬
其他融資活動的淨現金流額 -154.57%-272.9萬57.74%-295.3萬-146.26%-40.2萬87.96%-40.4萬-0.94%-107.5萬68.81%-107.2萬-87.60%-698.8萬360.96%86.9萬-86.70%-335.5萬14.80%-106.5萬
非持續融資活動現金淨額
融資活動現金淨額 -77.56%-1,959.9萬90.33%-1,531.3萬53.83%-6,920.7萬-362.83%-1,678.7萬6,544.72%8,171.9萬-211.10%-1,103.8萬-4.07%-1.58億-1,369.48%-1.5億94.59%-362.7萬97.85%-126.8萬
現金淨流量
期初現金流 4.37%2.71億-25.06%2.6億-55.48%1.92億-35.32%2.36億-53.59%1.68億-25.06%2.6億2.89%3.46億102.25%4.32億120.62%3.65億91.87%3.61億
當期現金流變化 -47.38%-1.36億112.77%1,103萬145.83%7,868.4萬-165.23%-4,356.4萬1,948.81%6,795.9萬-705.98%-9,204.9萬-1,002.90%-8,640.8萬-229.53%-1.72億38.11%6,678.4萬114.42%331.7萬
利率變動影響 -212.57%-20.6萬178.93%31.1萬99.59%-2,000-154.66%-12.9萬979.17%25.9萬208.28%18.3萬-360.93%-39.4萬-241.40%-48.5萬216.83%23.6萬182.76%2.4萬
期末現金流 -19.47%1.35億4.37%2.71億4.37%2.71億-55.48%1.92億-35.32%2.36億-53.59%1.68億-25.06%2.6億-25.06%2.6億102.25%4.32億120.62%3.65億
自由現金流 -41.87%-1.14億141.70%1,091.1萬668.31%1.38億-144.74%-3,281.5萬-337.11%-1,317.6萬0.23%-8,067.4萬-123.70%-2,616.5萬-117.06%-2,420.8萬8.42%7,334.5萬-83.66%555.7萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --無保留意見--------無保留意見------
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