美股市場個股詳情

JELD-WEN Holding (JELD)

添加自選
  • 1.465
  • -0.075-4.87%
收盤價 05/15 16:00 (美東)
  • 1.465
  • 0.0000.00%
盤後 16:00 (美東)
1.26億總市值-0.25市盈率TTM

JELD-WEN Holding (JELD) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/28
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/27
(Q2)2025/06/28
(Q1)2025/03/29
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/28
(Q2)2024/06/29
經營活動現金流量(間接法)
持續經營活動現金淨額
-9.25%-9,121.5萬
-104.58%-486.1萬
16.50%3,283.9萬
-70.17%1,123.1萬
-32.73%3,456.3萬
-659.17%-8,349.4萬
-69.23%1.06億
-60.96%2,818.9萬
-68.53%3,764.7萬
-66.64%5,137.6萬
持續經營淨收入
59.59%-7,684.4萬
-228.65%-6.21億
38.67%-4,194.8萬
-394.07%-3.68億
-16.41%-2,152.5萬
-585.68%-1.9億
-402.70%-1.89億
-96.80%-6,839.7萬
-269.93%-7,440.2萬
-148.30%-1,849.1萬
持續經營損益
120.99%7.6萬
-368.34%-3,604.8萬
-570.85%-3,392.5萬
102.28%11.3萬
-1,803.64%-187.4萬
-116.37%-36.2萬
-119.60%-769.7萬
21.73%-505.7萬
-292.55%-496.2萬
-68.02%11萬
折舊和攤銷
7.60%2,937萬
-10.66%1.12億
3.93%2,934.5萬
1.57%2,831.1萬
-2.90%2,743萬
-34.12%2,729.5萬
-10.28%1.26億
-24.69%2,823.4萬
-9.94%2,787.4萬
-27.50%2,824.9萬
遞延稅費
104.07%12.7萬
906.24%1.37億
104.54%33.1萬
6,936.48%1.48億
-95.21%-860.5萬
57.77%-312.3萬
-153.52%-1,698.4萬
-131.80%-728.9萬
-78.41%210.8萬
-232.69%-440.8萬
其他非現金項目
135.11%418.5萬
26.57%2,334.2萬
246.44%1,284.6萬
-46.00%538.3萬
-14.03%333.3萬
100.45%178萬
175.40%1,844.2萬
-55.83%370.8萬
135.61%996.9萬
211.76%387.7萬
營運資金變化
13.50%-5,181.1萬
-53.94%3,013萬
47.62%6,312.4萬
-140.07%-447萬
-11.82%3,137.1萬
-148.82%-5,989.5萬
-45.65%6,542.1萬
8.53%4,276.1萬
-80.44%1,115.6萬
-49.10%3,557.6萬
-應收款項(增)減
-22.31%-7,110.1萬
-54.37%4,666.8萬
2.63%8,403萬
-85.53%327.8萬
13.95%1,749萬
-230.30%-5,813萬
841.59%1.02億
34.01%8,187.6萬
-11.92%2,264.9萬
-36.78%1,534.9萬
-存貨(增)減
-122.07%-469.9萬
255.29%3,347.9萬
125.73%2,441.7萬
-110.09%-128.8萬
-2,787.86%-1,094.5萬
254.58%2,129.5萬
-92.12%942.3萬
-75.85%1,081.7萬
-48.33%1,276.1萬
-102.07%-37.9萬
-應付款項及應計費用(減)增
200.51%2,001萬
-29.61%-5,797.1萬
8.42%-4,507.1萬
28.04%-1,131.6萬
439.45%1,832.5萬
-218.39%-1,990.9萬
-106.68%-4,472.6萬
12.08%-4,921.4萬
-79.07%-1,572.6萬
-81.97%339.7萬
-其他流動資產變化
226.28%397.9萬
612.83%795.4萬
64.90%-25.2萬
156.94%485.6萬
-62.22%650.1萬
66.88%-315.1萬
-113.38%-155.1萬
93.17%-71.8萬
-155.37%-852.8萬
103.01%1,720.9萬
非持續經營活動現金淨額
經營活動現金淨額
-9.25%-9,121.5萬
-104.58%-486.1萬
16.50%3,283.9萬
-70.17%1,123.1萬
-32.73%3,456.3萬
-659.17%-8,349.4萬
-69.23%1.06億
-60.96%2,818.9萬
-68.53%3,764.7萬
-66.64%5,137.6萬
投資活動現金流量
持續投資活動現金淨額
-137.35%-2,616.3萬
110.62%1,628.1萬
114.26%669.4萬
25.84%-2,725萬
15.14%-3,321萬
329.56%7,004.7萬
-154.93%-1.53億
-138.65%-4,694.1萬
-110.77%-3,674.7萬
-68.73%-3,913.5萬
固定資產交易的淨現金流
31.66%-2,501.2萬
26.03%-1.2億
43.53%-2,942.3萬
41.85%-2,687.7萬
24.64%-2,685.8萬
-30.98%-3,660.1萬
-64.65%-1.62億
-81.50%-5,210萬
-64.44%-4,622.2萬
-73.98%-3,564萬
無形資產交易淨現金流
81.08%-98.2萬
-37.00%-1,618.1萬
27.10%-262.3萬
-79.36%-344.2萬
-76.40%-492.5萬
-48.23%-519.1萬
5.89%-1,181.1萬
-98.13%-359.8萬
66.64%-191.9萬
0.36%-279.2萬
業務交易的淨現金流
--0
632.59%1.51億
321.92%3,801.5萬
-76.36%275.7萬
---144.4萬
--1.12億
-94.59%2,067.1萬
5.73%901萬
--1,166.1萬
--0
投資產品交易的淨現金流
36.26%-17.4萬
72.82%-91.9萬
22.76%-20.7萬
32.09%-20.1萬
66.24%-23.8萬
87.07%-27.3萬
-196.58%-338.1萬
-8.50%-26.8萬
-26.50%-29.6萬
-155.43%-70.5萬
其他投資活動的淨現金流
-28.57%5,000
0.35%170.7萬
167.83%93.2萬
1,668.97%51.3萬
12,650.00%25.5萬
-99.77%7,000
-68.36%170.1萬
-46.64%-137.4萬
-97.90%2.9萬
-99.46%2,000
非持續投資活動現金淨額
投資活動現金淨額
-137.35%-2,616.3萬
110.62%1,628.1萬
114.26%669.4萬
25.84%-2,725萬
15.14%-3,321萬
329.56%7,004.7萬
-154.93%-1.53億
-138.65%-4,694.1萬
-110.77%-3,674.7萬
-68.73%-3,913.5萬
融資活動現金流量
持續融資活動現金淨額
586.31%3,210.6萬
59.01%-3,304.9萬
65.26%-1,054.4萬
7.96%-967萬
81.09%-623.3萬
3.03%-660.2萬
85.68%-8,063.3萬
-144.68%-3,035萬
97.81%-1,050.6萬
53.36%-3,296.9萬
債務發行/償還的淨現金流
715.00%3,231.2萬
38.40%-3,043.6萬
63.77%-1,054.1萬
-97.99%-937.1萬
34.66%-527萬
30.06%-525.4萬
91.14%-4,940.8萬
-142.64%-2,909.7萬
99.00%-473.3萬
88.59%-806.6萬
普通股發行/償還的淨現金流
----
--0
--0
--0
----
----
---2,428萬
--0
--0
----
職工行使股票期權收到的現金
0.00%2,000
-99.90%3,000
-150.00%-1,000
--0
-99.58%2,000
-99.90%2,000
411.19%287.8萬
-99.40%2,000
327.27%37.6萬
253.68%48.1萬
其他融資活動的淨現金流額
84.59%-20.8萬
73.37%-261.6萬
99.84%-2,000
95.14%-29.9萬
12.59%-96.5萬
-2.66%-135萬
-56.17%-982.3萬
-68.68%-125.5萬
-24.40%-614.9萬
-607.69%-110.4萬
非持續融資活動現金淨額
融資活動現金淨額
586.31%3,210.6萬
59.01%-3,304.9萬
65.26%-1,054.4萬
7.96%-967萬
81.09%-623.3萬
3.03%-660.2萬
85.68%-8,063.3萬
-144.68%-3,035萬
97.81%-1,050.6萬
53.36%-3,296.9萬
現金淨流量
期初現金流
-8.47%1.38億
-47.76%1.51億
-48.21%1.08億
-36.88%1.35億
-43.38%1.33億
-47.76%1.51億
30.91%2.89億
-12.75%2.09億
-18.90%2.14億
15.30%2.35億
當期現金流變化
-325.32%-8,527.2萬
83.07%-2,162.9萬
159.04%2,898.9萬
-167.43%-2,568.9萬
76.46%-488萬
58.51%-2,004.9萬
-308.73%-1.28億
-222.35%-4,910.2萬
50.19%-960.6萬
-134.46%-2,072.8萬
利率變動影響
-128.93%-62.9萬
185.36%883萬
109.32%85.4萬
-114.30%-75.5萬
877.82%655.7萬
138.70%217.4萬
-246.23%-1,034.4萬
-200.61%-916.5萬
224.41%528.1萬
-20.43%-84.3萬
期末現金流
-60.69%5,234.7萬
-8.47%1.38億
-8.47%1.38億
-48.21%1.08億
-36.88%1.35億
-43.38%1.33億
-47.76%1.51億
-47.76%1.51億
-12.75%2.09億
-18.90%2.14億
自由現金流
6.50%-1.17億
-108.58%-1.41億
102.88%79.3萬
-164.85%-1,652.4萬
-96.84%37.8萬
-174.44%-1.25億
-128.81%-6,750.3萬
-165.99%-2,750.9萬
-107.24%-623.9萬
-90.85%1,195.5萬
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
--
--
--
(Q1)2026/03/28(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/27(Q2)2025/06/28(Q1)2025/03/29(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/28(Q2)2024/06/29
經營活動現金流量(間接法)
持續經營活動現金淨額 -9.25%-9,121.5萬-104.58%-486.1萬16.50%3,283.9萬-70.17%1,123.1萬-32.73%3,456.3萬-659.17%-8,349.4萬-69.23%1.06億-60.96%2,818.9萬-68.53%3,764.7萬-66.64%5,137.6萬
持續經營淨收入 59.59%-7,684.4萬-228.65%-6.21億38.67%-4,194.8萬-394.07%-3.68億-16.41%-2,152.5萬-585.68%-1.9億-402.70%-1.89億-96.80%-6,839.7萬-269.93%-7,440.2萬-148.30%-1,849.1萬
持續經營損益 120.99%7.6萬-368.34%-3,604.8萬-570.85%-3,392.5萬102.28%11.3萬-1,803.64%-187.4萬-116.37%-36.2萬-119.60%-769.7萬21.73%-505.7萬-292.55%-496.2萬-68.02%11萬
折舊和攤銷 7.60%2,937萬-10.66%1.12億3.93%2,934.5萬1.57%2,831.1萬-2.90%2,743萬-34.12%2,729.5萬-10.28%1.26億-24.69%2,823.4萬-9.94%2,787.4萬-27.50%2,824.9萬
遞延稅費 104.07%12.7萬906.24%1.37億104.54%33.1萬6,936.48%1.48億-95.21%-860.5萬57.77%-312.3萬-153.52%-1,698.4萬-131.80%-728.9萬-78.41%210.8萬-232.69%-440.8萬
其他非現金項目 135.11%418.5萬26.57%2,334.2萬246.44%1,284.6萬-46.00%538.3萬-14.03%333.3萬100.45%178萬175.40%1,844.2萬-55.83%370.8萬135.61%996.9萬211.76%387.7萬
營運資金變化 13.50%-5,181.1萬-53.94%3,013萬47.62%6,312.4萬-140.07%-447萬-11.82%3,137.1萬-148.82%-5,989.5萬-45.65%6,542.1萬8.53%4,276.1萬-80.44%1,115.6萬-49.10%3,557.6萬
-應收款項(增)減 -22.31%-7,110.1萬-54.37%4,666.8萬2.63%8,403萬-85.53%327.8萬13.95%1,749萬-230.30%-5,813萬841.59%1.02億34.01%8,187.6萬-11.92%2,264.9萬-36.78%1,534.9萬
-存貨(增)減 -122.07%-469.9萬255.29%3,347.9萬125.73%2,441.7萬-110.09%-128.8萬-2,787.86%-1,094.5萬254.58%2,129.5萬-92.12%942.3萬-75.85%1,081.7萬-48.33%1,276.1萬-102.07%-37.9萬
-應付款項及應計費用(減)增 200.51%2,001萬-29.61%-5,797.1萬8.42%-4,507.1萬28.04%-1,131.6萬439.45%1,832.5萬-218.39%-1,990.9萬-106.68%-4,472.6萬12.08%-4,921.4萬-79.07%-1,572.6萬-81.97%339.7萬
-其他流動資產變化 226.28%397.9萬612.83%795.4萬64.90%-25.2萬156.94%485.6萬-62.22%650.1萬66.88%-315.1萬-113.38%-155.1萬93.17%-71.8萬-155.37%-852.8萬103.01%1,720.9萬
非持續經營活動現金淨額
經營活動現金淨額 -9.25%-9,121.5萬-104.58%-486.1萬16.50%3,283.9萬-70.17%1,123.1萬-32.73%3,456.3萬-659.17%-8,349.4萬-69.23%1.06億-60.96%2,818.9萬-68.53%3,764.7萬-66.64%5,137.6萬
投資活動現金流量
持續投資活動現金淨額 -137.35%-2,616.3萬110.62%1,628.1萬114.26%669.4萬25.84%-2,725萬15.14%-3,321萬329.56%7,004.7萬-154.93%-1.53億-138.65%-4,694.1萬-110.77%-3,674.7萬-68.73%-3,913.5萬
固定資產交易的淨現金流 31.66%-2,501.2萬26.03%-1.2億43.53%-2,942.3萬41.85%-2,687.7萬24.64%-2,685.8萬-30.98%-3,660.1萬-64.65%-1.62億-81.50%-5,210萬-64.44%-4,622.2萬-73.98%-3,564萬
無形資產交易淨現金流 81.08%-98.2萬-37.00%-1,618.1萬27.10%-262.3萬-79.36%-344.2萬-76.40%-492.5萬-48.23%-519.1萬5.89%-1,181.1萬-98.13%-359.8萬66.64%-191.9萬0.36%-279.2萬
業務交易的淨現金流 --0632.59%1.51億321.92%3,801.5萬-76.36%275.7萬---144.4萬--1.12億-94.59%2,067.1萬5.73%901萬--1,166.1萬--0
投資產品交易的淨現金流 36.26%-17.4萬72.82%-91.9萬22.76%-20.7萬32.09%-20.1萬66.24%-23.8萬87.07%-27.3萬-196.58%-338.1萬-8.50%-26.8萬-26.50%-29.6萬-155.43%-70.5萬
其他投資活動的淨現金流 -28.57%5,0000.35%170.7萬167.83%93.2萬1,668.97%51.3萬12,650.00%25.5萬-99.77%7,000-68.36%170.1萬-46.64%-137.4萬-97.90%2.9萬-99.46%2,000
非持續投資活動現金淨額
投資活動現金淨額 -137.35%-2,616.3萬110.62%1,628.1萬114.26%669.4萬25.84%-2,725萬15.14%-3,321萬329.56%7,004.7萬-154.93%-1.53億-138.65%-4,694.1萬-110.77%-3,674.7萬-68.73%-3,913.5萬
融資活動現金流量
持續融資活動現金淨額 586.31%3,210.6萬59.01%-3,304.9萬65.26%-1,054.4萬7.96%-967萬81.09%-623.3萬3.03%-660.2萬85.68%-8,063.3萬-144.68%-3,035萬97.81%-1,050.6萬53.36%-3,296.9萬
債務發行/償還的淨現金流 715.00%3,231.2萬38.40%-3,043.6萬63.77%-1,054.1萬-97.99%-937.1萬34.66%-527萬30.06%-525.4萬91.14%-4,940.8萬-142.64%-2,909.7萬99.00%-473.3萬88.59%-806.6萬
普通股發行/償還的淨現金流 ------0--0--0-----------2,428萬--0--0----
職工行使股票期權收到的現金 0.00%2,000-99.90%3,000-150.00%-1,000--0-99.58%2,000-99.90%2,000411.19%287.8萬-99.40%2,000327.27%37.6萬253.68%48.1萬
其他融資活動的淨現金流額 84.59%-20.8萬73.37%-261.6萬99.84%-2,00095.14%-29.9萬12.59%-96.5萬-2.66%-135萬-56.17%-982.3萬-68.68%-125.5萬-24.40%-614.9萬-607.69%-110.4萬
非持續融資活動現金淨額
融資活動現金淨額 586.31%3,210.6萬59.01%-3,304.9萬65.26%-1,054.4萬7.96%-967萬81.09%-623.3萬3.03%-660.2萬85.68%-8,063.3萬-144.68%-3,035萬97.81%-1,050.6萬53.36%-3,296.9萬
現金淨流量
期初現金流 -8.47%1.38億-47.76%1.51億-48.21%1.08億-36.88%1.35億-43.38%1.33億-47.76%1.51億30.91%2.89億-12.75%2.09億-18.90%2.14億15.30%2.35億
當期現金流變化 -325.32%-8,527.2萬83.07%-2,162.9萬159.04%2,898.9萬-167.43%-2,568.9萬76.46%-488萬58.51%-2,004.9萬-308.73%-1.28億-222.35%-4,910.2萬50.19%-960.6萬-134.46%-2,072.8萬
利率變動影響 -128.93%-62.9萬185.36%883萬109.32%85.4萬-114.30%-75.5萬877.82%655.7萬138.70%217.4萬-246.23%-1,034.4萬-200.61%-916.5萬224.41%528.1萬-20.43%-84.3萬
期末現金流 -60.69%5,234.7萬-8.47%1.38億-8.47%1.38億-48.21%1.08億-36.88%1.35億-43.38%1.33億-47.76%1.51億-47.76%1.51億-12.75%2.09億-18.90%2.14億
自由現金流 6.50%-1.17億-108.58%-1.41億102.88%79.3萬-164.85%-1,652.4萬-96.84%37.8萬-174.44%-1.25億-128.81%-6,750.3萬-165.99%-2,750.9萬-107.24%-623.9萬-90.85%1,195.5萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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