美股市場個股詳情

JBSAY JBS SA SPON ADR EACH REP 2 ORD SHS

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  • 9.550
  • -0.010-0.10%
延時15分鐘行情收盤價 05/09 16:00 (美東)
105.92億總市值-53055市盈率TTM

JBS SA SPON ADR EACH REP 2 ORD SHS關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-7.82%23.79億
46.62%14.6億
-5.68%10.5億
24.19%7.33億
-632.63%-8.63億
-35.46%25.81億
-42.77%9.96億
-29.38%11.13億
-40.47%5.9億
61.73%-1.18億
持續經營淨收入
-104.19%-1.32億
-90.17%5,434.51萬
-79.17%1.49億
-107.40%-5,447.68萬
-124.62%-2.81億
-17.68%31.44億
-55.11%5.53億
-45.14%7.15億
-19.14%7.36億
205.30%11.4億
持續經營損益
-90.19%-1.7億
-192.77%-8,847.14萬
-11.06%-636.84萬
65.19%-6,156.05萬
-515.03%-1,372.27萬
-53.97%-8,944.9萬
372.31%9,536.45萬
-288.76%-573.44萬
-1,157.38%-1.77億
70.38%-223.12萬
折舊和攤銷
12.64%21.49億
3.16%5.87億
16.03%4.81億
38.25%5.72億
-0.31%5.09億
14.03%19.08億
21.36%5.69億
18.79%4.15億
-16.37%4.14億
41.58%5.1億
遞延稅費
-131.22%-1.28億
94.07%-1,899.8萬
-99.11%31.84萬
-90.14%3,186.09萬
-137.97%-1.41億
-66.54%4.1億
-242.17%-3.21億
-86.45%3,561.92萬
-37.44%3.23億
68.69%3.72億
其他非現金項目
49.85%15.91億
219.02%5.01億
-36.00%2.92億
-34.42%3.69億
474.03%4.29億
1.15%10.62億
-34.36%1.57億
164.72%4.57億
-7.17%5.62億
-458.23%-1.15億
營運資金變化
104.14%8,699.7萬
156.91%7.43億
501.68%2.83億
127.64%1.75億
33.86%-11.14億
-6.65%-21億
15.33%2.89億
33.77%-7,037.44萬
39.78%-6.34億
-58.92%-16.84億
-應收款項(增)減
177.91%7.62億
1,469.06%7,505.26萬
197.79%2.45億
161.68%3.14億
160.06%1.28億
-20.47%-9.79億
89.42%-548.21萬
-143.85%-2.51億
24.02%-5.09億
-1,751.80%-2.13億
-存貨(增)減
96.31%-4,884.1萬
24.29%1.65億
97.82%-805.44萬
112.20%4,661.49萬
64.13%-2.53億
39.32%-13.23億
129.46%1.33億
-515.38%-3.7億
60.85%-3.82億
-1.64%-7.04億
-應付款項及應計費用(減)增
-576.78%-8.35億
-35.11%2.39億
-86.10%4,553.23萬
-230.23%-1.72億
-45.02%-9.48億
-84.57%1.75億
-55.48%3.69億
554.98%3.28億
-74.89%1.32億
-141.88%-6.54億
-其他流動資產變化
-127.07%-4,093.8萬
319.42%4,060.16萬
-189.15%-4,982.04萬
-145.43%-6,986.41萬
195.54%3,814.49萬
169.63%1.51億
77.10%-1,850.41萬
176.11%5,588.12萬
497.70%1.54億
-64.29%-3,992.75萬
-其他流動負債變化
299.77%2.49億
217.99%2.23億
-70.20%4,963.94萬
295.29%5,658.79萬
-7.60%-7,939.26萬
-218.15%-1.25億
-3,320.27%-1.89億
107.96%1.67億
-127.58%-2,897.6萬
13.52%-7,378.28萬
非持續經營活動現金淨額
經營活動現金淨額
-7.82%23.79億
46.62%14.6億
-5.68%10.5億
24.19%7.33億
-632.63%-8.63億
-35.46%25.81億
-42.77%9.96億
-29.38%11.13億
-40.47%5.9億
61.73%-1.18億
投資活動現金流量
持續投資活動現金淨額
44.45%-14.08億
64.31%-3.54億
31.42%-3.38億
10.09%-3.96億
47.48%-3.21億
27.89%-25.36億
5.63%-9.92億
63.09%-4.92億
48.31%-4.4億
-118.68%-6.11億
固定資產交易的淨現金流
32.66%-14.3億
49.42%-3.57億
32.80%-3.35億
10.24%-4.15億
29.33%-3.23億
-22.27%-21.24億
-14.03%-7.05億
-22.01%-4.99億
-6.92%-4.63億
-65.08%-4.57億
無形資產交易淨現金流
-7.12%-898.3萬
86.78%-242.75萬
-77.95%-338.66萬
-108.20%-112.47萬
-11.93%-204.41萬
14.52%-838.6萬
-361.90%-1,836.58萬
-97.01%-190.31萬
452.55%1,370.92萬
-86.30%-182.62萬
業務交易的淨現金流
99.07%-352.9萬
99.34%-155.53萬
-258.87%-143.79萬
-117.01%-144.18萬
100.59%90.61萬
78.30%-3.81億
44.84%-2.37億
100.10%90.51萬
102.03%847.52萬
-7,037.34%-1.53億
其他投資活動的淨現金流
186.32%2,166.4萬
101.63%53.37萬
-107.61%-56.05萬
--1,980.57萬
--188.51萬
-26.57%-2,509.7萬
-4,653.04%-3,271.44萬
--736.65萬
----
----
非持續投資活動現金淨額
投資活動現金淨額
44.45%-14.08億
64.31%-3.54億
31.42%-3.38億
10.09%-3.96億
47.48%-3.21億
27.89%-25.36億
5.63%-9.92億
63.09%-4.92億
48.31%-4.4億
-118.68%-6.11億
融資活動現金流量
持續融資活動現金淨額
161.30%10.22億
-190.80%-18.15億
263.96%19.53億
3,392.14%4.68億
156.60%4.16億
-2,486.92%-16.67億
10.20%-6.24億
-277.02%-11.91億
-101.16%-1,421.66萬
112.80%1.62億
債務發行/償還的淨現金流
1,357.49%15.15億
-2,041.09%-17.89億
263.86%19.37億
33.29%9.74億
-38.41%3.94億
-96.90%1.04億
-109.25%-8,356.9萬
-203.76%-11.82億
-64.87%7.31億
182.49%6.39億
普通股發行/償還的淨現金流
--0
--0
--0
--0
--0
61.42%-7.42億
96.72%-3,972.04萬
75.66%-4,483.16萬
-980.26%-2.48億
18.70%-4.09億
現金股利支付
48.67%-4.48億
98.37%-750.96萬
-5.85%1,606.45萬
-6.70%-4.57億
--0
36.74%-8.73億
-2.08%-4.62億
104.06%1,706.26萬
15.52%-4.28億
---2,095.2501
其他融資活動的淨現金流額
71.21%-4,520.6萬
52.25%-1,863.29萬
-99.62%7.1萬
27.98%-4,939.88萬
133.40%2,275.47萬
-41.04%-1.57億
-159.01%-3,901.93萬
-86.47%1,872.03萬
78.91%-6,858.84萬
-826.65%-6,812.16萬
非持續融資活動現金淨額
融資活動現金淨額
161.30%10.22億
-190.80%-18.15億
263.96%19.53億
3,392.14%4.68億
156.60%4.16億
-2,486.92%-16.67億
10.20%-6.24億
-277.02%-11.91億
-101.16%-1,421.66萬
112.80%1.62億
現金淨流量
期初現金流
-39.33%25.26億
72.35%53.2億
-30.00%26.22億
-51.41%17.59億
-46.87%25.87億
9.97%41.64億
-28.33%30.87億
10.27%37.45億
103.84%36.21億
42.89%48.69億
當期現金流變化
222.80%19.92億
-14.32%-7.1億
566.92%26.65億
494.24%8.05億
-35.57%-7.68億
-488.38%-16.22億
-8,954.24%-6.21億
-162.41%-5.71億
-90.08%1.35億
69.47%-5.66億
利率變動影響
428.44%5,064.2萬
-74.76%5,061.04萬
41.47%1.28億
-118.23%-6,840.25萬
91.22%-5,987.19萬
61.81%-1,541.9萬
169.14%2億
-72.70%9,069.42萬
222.56%3.75億
-404.95%-6.82億
期末現金流
80.87%45.7億
80.87%45.7億
72.35%53.2億
-30.00%26.22億
-51.41%17.59億
-39.33%25.26億
-39.33%25.26億
-28.33%30.87億
10.27%37.45億
103.84%36.21億
自由現金流
117.15%8.68億
308.18%10.48億
18.15%7.09億
159.26%3.13億
-108.01%-12.03億
-81.91%4億
-76.95%2.57億
-48.32%6億
-77.52%1.21億
4.32%-5.78億
貨幣單位
美元
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審計意見
無保留意見
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(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -7.82%23.79億46.62%14.6億-5.68%10.5億24.19%7.33億-632.63%-8.63億-35.46%25.81億-42.77%9.96億-29.38%11.13億-40.47%5.9億61.73%-1.18億
持續經營淨收入 -104.19%-1.32億-90.17%5,434.51萬-79.17%1.49億-107.40%-5,447.68萬-124.62%-2.81億-17.68%31.44億-55.11%5.53億-45.14%7.15億-19.14%7.36億205.30%11.4億
持續經營損益 -90.19%-1.7億-192.77%-8,847.14萬-11.06%-636.84萬65.19%-6,156.05萬-515.03%-1,372.27萬-53.97%-8,944.9萬372.31%9,536.45萬-288.76%-573.44萬-1,157.38%-1.77億70.38%-223.12萬
折舊和攤銷 12.64%21.49億3.16%5.87億16.03%4.81億38.25%5.72億-0.31%5.09億14.03%19.08億21.36%5.69億18.79%4.15億-16.37%4.14億41.58%5.1億
遞延稅費 -131.22%-1.28億94.07%-1,899.8萬-99.11%31.84萬-90.14%3,186.09萬-137.97%-1.41億-66.54%4.1億-242.17%-3.21億-86.45%3,561.92萬-37.44%3.23億68.69%3.72億
其他非現金項目 49.85%15.91億219.02%5.01億-36.00%2.92億-34.42%3.69億474.03%4.29億1.15%10.62億-34.36%1.57億164.72%4.57億-7.17%5.62億-458.23%-1.15億
營運資金變化 104.14%8,699.7萬156.91%7.43億501.68%2.83億127.64%1.75億33.86%-11.14億-6.65%-21億15.33%2.89億33.77%-7,037.44萬39.78%-6.34億-58.92%-16.84億
-應收款項(增)減 177.91%7.62億1,469.06%7,505.26萬197.79%2.45億161.68%3.14億160.06%1.28億-20.47%-9.79億89.42%-548.21萬-143.85%-2.51億24.02%-5.09億-1,751.80%-2.13億
-存貨(增)減 96.31%-4,884.1萬24.29%1.65億97.82%-805.44萬112.20%4,661.49萬64.13%-2.53億39.32%-13.23億129.46%1.33億-515.38%-3.7億60.85%-3.82億-1.64%-7.04億
-應付款項及應計費用(減)增 -576.78%-8.35億-35.11%2.39億-86.10%4,553.23萬-230.23%-1.72億-45.02%-9.48億-84.57%1.75億-55.48%3.69億554.98%3.28億-74.89%1.32億-141.88%-6.54億
-其他流動資產變化 -127.07%-4,093.8萬319.42%4,060.16萬-189.15%-4,982.04萬-145.43%-6,986.41萬195.54%3,814.49萬169.63%1.51億77.10%-1,850.41萬176.11%5,588.12萬497.70%1.54億-64.29%-3,992.75萬
-其他流動負債變化 299.77%2.49億217.99%2.23億-70.20%4,963.94萬295.29%5,658.79萬-7.60%-7,939.26萬-218.15%-1.25億-3,320.27%-1.89億107.96%1.67億-127.58%-2,897.6萬13.52%-7,378.28萬
非持續經營活動現金淨額
經營活動現金淨額 -7.82%23.79億46.62%14.6億-5.68%10.5億24.19%7.33億-632.63%-8.63億-35.46%25.81億-42.77%9.96億-29.38%11.13億-40.47%5.9億61.73%-1.18億
投資活動現金流量
持續投資活動現金淨額 44.45%-14.08億64.31%-3.54億31.42%-3.38億10.09%-3.96億47.48%-3.21億27.89%-25.36億5.63%-9.92億63.09%-4.92億48.31%-4.4億-118.68%-6.11億
固定資產交易的淨現金流 32.66%-14.3億49.42%-3.57億32.80%-3.35億10.24%-4.15億29.33%-3.23億-22.27%-21.24億-14.03%-7.05億-22.01%-4.99億-6.92%-4.63億-65.08%-4.57億
無形資產交易淨現金流 -7.12%-898.3萬86.78%-242.75萬-77.95%-338.66萬-108.20%-112.47萬-11.93%-204.41萬14.52%-838.6萬-361.90%-1,836.58萬-97.01%-190.31萬452.55%1,370.92萬-86.30%-182.62萬
業務交易的淨現金流 99.07%-352.9萬99.34%-155.53萬-258.87%-143.79萬-117.01%-144.18萬100.59%90.61萬78.30%-3.81億44.84%-2.37億100.10%90.51萬102.03%847.52萬-7,037.34%-1.53億
其他投資活動的淨現金流 186.32%2,166.4萬101.63%53.37萬-107.61%-56.05萬--1,980.57萬--188.51萬-26.57%-2,509.7萬-4,653.04%-3,271.44萬--736.65萬--------
非持續投資活動現金淨額
投資活動現金淨額 44.45%-14.08億64.31%-3.54億31.42%-3.38億10.09%-3.96億47.48%-3.21億27.89%-25.36億5.63%-9.92億63.09%-4.92億48.31%-4.4億-118.68%-6.11億
融資活動現金流量
持續融資活動現金淨額 161.30%10.22億-190.80%-18.15億263.96%19.53億3,392.14%4.68億156.60%4.16億-2,486.92%-16.67億10.20%-6.24億-277.02%-11.91億-101.16%-1,421.66萬112.80%1.62億
債務發行/償還的淨現金流 1,357.49%15.15億-2,041.09%-17.89億263.86%19.37億33.29%9.74億-38.41%3.94億-96.90%1.04億-109.25%-8,356.9萬-203.76%-11.82億-64.87%7.31億182.49%6.39億
普通股發行/償還的淨現金流 --0--0--0--0--061.42%-7.42億96.72%-3,972.04萬75.66%-4,483.16萬-980.26%-2.48億18.70%-4.09億
現金股利支付 48.67%-4.48億98.37%-750.96萬-5.85%1,606.45萬-6.70%-4.57億--036.74%-8.73億-2.08%-4.62億104.06%1,706.26萬15.52%-4.28億---2,095.2501
其他融資活動的淨現金流額 71.21%-4,520.6萬52.25%-1,863.29萬-99.62%7.1萬27.98%-4,939.88萬133.40%2,275.47萬-41.04%-1.57億-159.01%-3,901.93萬-86.47%1,872.03萬78.91%-6,858.84萬-826.65%-6,812.16萬
非持續融資活動現金淨額
融資活動現金淨額 161.30%10.22億-190.80%-18.15億263.96%19.53億3,392.14%4.68億156.60%4.16億-2,486.92%-16.67億10.20%-6.24億-277.02%-11.91億-101.16%-1,421.66萬112.80%1.62億
現金淨流量
期初現金流 -39.33%25.26億72.35%53.2億-30.00%26.22億-51.41%17.59億-46.87%25.87億9.97%41.64億-28.33%30.87億10.27%37.45億103.84%36.21億42.89%48.69億
當期現金流變化 222.80%19.92億-14.32%-7.1億566.92%26.65億494.24%8.05億-35.57%-7.68億-488.38%-16.22億-8,954.24%-6.21億-162.41%-5.71億-90.08%1.35億69.47%-5.66億
利率變動影響 428.44%5,064.2萬-74.76%5,061.04萬41.47%1.28億-118.23%-6,840.25萬91.22%-5,987.19萬61.81%-1,541.9萬169.14%2億-72.70%9,069.42萬222.56%3.75億-404.95%-6.82億
期末現金流 80.87%45.7億80.87%45.7億72.35%53.2億-30.00%26.22億-51.41%17.59億-39.33%25.26億-39.33%25.26億-28.33%30.87億10.27%37.45億103.84%36.21億
自由現金流 117.15%8.68億308.18%10.48億18.15%7.09億159.26%3.13億-108.01%-12.03億-81.91%4億-76.95%2.57億-48.32%6億-77.52%1.21億4.32%-5.78億
貨幣單位 美元美元美元美元美元美元美元美元美元美元
審計意見 無保留意見------------------

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