美股市場個股詳情

MasTec (MTZ)

添加自選
  • 423.048
  • -11.723-2.70%
交易中 05/15 10:38 (美東)
334.29億總市值74.09市盈率TTM

MasTec (MTZ) 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
26.15%9,885.4萬
-51.35%5.46億
-20.98%3.73億
-67.97%8,896.5萬
-97.86%564.6萬
-27.27%7,836.5萬
63.20%11.22億
-3.87%4.72億
-5.69%2.78億
2,391.78%2.64億
持續經營淨收入
465.13%6,966.3萬
111.62%4.22億
80.70%1.53億
57.95%1.66億
105.94%9,013.4萬
135.77%1,232.7萬
521.64%1.99億
7,011.84%8,470.2萬
588.73%1.05億
161.24%4,376.8萬
持續經營損益
50.45%-809.3萬
-17.18%-5,041.5萬
6.36%-1,305.9萬
29.73%-1,116.9萬
-104.21%-985.5萬
-95.45%-1,633.2萬
17.43%-4,302.2萬
-45.44%-1,394.6萬
-29.54%-1,589.4萬
63.65%-482.6萬
折舊和攤銷
11.97%1.22億
-15.70%4.27億
-3.59%1.11億
-8.73%1.05億
-24.40%1.03億
-22.86%1.09億
-16.01%5.07億
-24.02%1.15億
-27.17%1.15億
-6.43%1.36億
遞延稅費
89.34%-145.2萬
434.44%1.15億
229.21%3,112.7萬
100.57%1.1億
40.47%-1,260.6萬
69.15%-1,361.8萬
75.56%-3,443.3萬
61.81%-2,409.1萬
256.02%5,497萬
-81.22%-2,117.5萬
其他非現金項目
-257.92%-75.8萬
-61.40%742.8萬
-37.44%260.2萬
568.87%241萬
-79.36%193.6萬
-92.28%48萬
30.80%1,924.4萬
-36.32%415.9萬
-110.43%-51.4萬
1,077.04%938.1萬
營運資金變化
-385.44%-9,852.5萬
-192.84%-4.1億
-73.21%7,959.4萬
-2,572.54%-2.93億
-276.46%-1.76億
-162.45%-2,029.6萬
59.64%4.41億
-24.80%2.97億
-92.46%1,184.6萬
163.39%9,971.3萬
-應收款項(增)減
-426.30%-2.5億
-347.51%-5.87億
-2.08%1.71億
-132.49%-4.77億
-1,799.79%-3.58億
-68.90%7,672.4萬
2,685.93%2.37億
-50.64%1.75億
-0.74%-2.05億
111.25%2,108.8萬
-存貨(增)減
-852.68%-477.2萬
-110.28%-270.9萬
-36.63%481.8萬
-140.47%-349.2萬
-211.14%-466.9萬
-89.28%63.4萬
-20.21%2,634.5萬
-10.01%760.3萬
-58.67%862.9萬
-55.15%420.1萬
-應付款項及應計費用(減)增
148.38%5,526.5萬
254.90%2.51億
-266.21%-6,549.7萬
57.07%1.76億
8,654.02%2.55億
63.83%-1.14億
-197.49%-1.62億
-35.55%3,940.5萬
-63.86%1.12億
-64.77%291萬
-其他流動資產變化
389.56%5,119.5萬
-417.88%-6,531.2萬
64.88%-974萬
-404.03%-3,793.7萬
-98.11%4.5萬
-152.90%-1,768萬
-72.62%2,054.6萬
-2,236.73%-2,773.7萬
-67.09%1,247.8萬
37.36%238.6萬
-其他流動負債變化
513.57%2,206.4萬
-96.26%266.1萬
-123.46%-1,883.5萬
2,278.36%1,731.8萬
119.97%58.2萬
165.84%359.6萬
288.02%7,112.9萬
1,599.81%8,030萬
93.82%-79.5萬
88.43%-291.4萬
-其他營運資本變化
-8.41%2,807.7萬
-102.95%-730.5萬
-108.89%-204.2萬
-61.92%3,228.7萬
-194.67%-6,820.4萬
-54.72%3,065.4萬
401.18%2.48億
206.39%2,297.1萬
1,421.64%8,478.6萬
100.62%7,204.2萬
非持續經營活動現金淨額
經營活動現金淨額
26.15%9,885.4萬
-51.35%5.46億
-20.98%3.73億
-67.97%8,896.5萬
-97.86%564.6萬
-27.27%7,836.5萬
63.20%11.22億
-3.87%4.72億
-5.69%2.78億
2,391.78%2.64億
投資活動現金流量
持續投資活動現金淨額
-862.62%-3.36億
-69.69%-2.67億
-45.93%-1.12億
-21.92%-6,867.4萬
-352.38%-5,174.8萬
-167.86%-3,490.5萬
11.55%-1.57億
-1,102.45%-7,669.2萬
-86.37%-5,632.8萬
77.99%-1,143.9萬
資本性支出
-104.74%-9,676.8萬
-74.66%-2.6億
-66.03%-8,022.1萬
-57.43%-6,868.8萬
-102.59%-6,381.2萬
-86.01%-4,726.4萬
22.85%-1.49億
-35.83%-4,831.7萬
-13.91%-4,363.1萬
43.47%-3,149.8萬
固定資產交易的淨現金流
-29.43%977.9萬
-14.74%5,630.4萬
-17.92%1,396.2萬
-12.62%1,568.3萬
-36.72%1,280.1萬
27.72%1,385.8萬
-21.49%6,603.8萬
-39.63%1,701萬
34.29%1,794.9萬
-10.59%2,022.9萬
業務交易的淨現金流
-5,540.50%-2.67億
11.12%-7,104.4萬
-0.96%-4,656.5萬
48.94%-1,723.3萬
---251.5萬
-7,655.74%-473.1萬
-15.20%-7,993.3萬
-7,977.41%-4,612.2萬
-583.61%-3,375萬
--0
投資產品交易的淨現金流
517.43%1,636.2萬
291.74%275萬
146.30%10萬
--0
--0
4,306.35%265萬
147.63%70.2萬
---21.6萬
762.50%180.2萬
42.26%-82.1萬
其他投資活動的淨現金流
153.95%147.8萬
3.77%473萬
-15.42%80.6萬
20.12%156.4萬
173.12%177.8萬
-64.77%58.2萬
179.29%455.8萬
-40.10%95.3萬
1,769.23%130.2萬
903.70%65.1萬
非持續投資活動現金淨額
投資活動現金淨額
-862.62%-3.36億
-69.69%-2.67億
-45.93%-1.12億
-21.92%-6,867.4萬
-352.38%-5,174.8萬
-167.86%-3,490.5萬
11.55%-1.57億
-1,102.45%-7,669.2萬
-86.37%-5,632.8萬
77.99%-1,143.9萬
融資活動現金流量
持續融資活動現金淨額
217.56%1.15億
74.00%-2.83億
44.51%-9,639.7萬
106.00%2,023.3萬
46.35%-1.1億
73.94%-9,769.4萬
-210.61%-10.9億
-2.54%-1.74億
-99.16%-3.37億
-594.72%-2.04億
債務發行/償還的淨現金流
377.31%1.43億
89.26%-1.05億
59.96%-5,947.1萬
116.80%4,758.4萬
77.77%-4,209.9萬
85.73%-5,147.9萬
-227.99%-9.82億
10.85%-1.49億
-83.77%-2.83億
-466.83%-1.89億
普通股發行/償還的淨現金流
--0
---7,732.6萬
--0
--0
---5,048.3萬
---2,684.3萬
--0
--0
--0
--0
職工行使股票期權收到的現金
-283.37%-1,825.6萬
-90.46%-561.1萬
-438.62%-78.1萬
15.00%-3.4萬
8.11%-3.4萬
-74.82%-476.2萬
71.48%-294.6萬
-291.89%-14.5萬
-8.11%-4萬
-101.30%-3.7萬
其他融資活動的淨現金流額
33.96%-964.8萬
9.83%-9,503.6萬
-44.33%-3,614.5萬
49.49%-2,731.7萬
-14.64%-1,696.4萬
-27.41%-1,461萬
-155.18%-1.05億
-804.12%-2,504.4萬
-255.08%-5,408.6萬
-12.10%-1,479.8萬
非持續融資活動現金淨額
融資活動現金淨額
217.56%1.15億
74.00%-2.83億
44.51%-9,639.7萬
106.00%2,023.3萬
46.35%-1.1億
73.94%-9,769.4萬
-210.61%-10.9億
-2.54%-1.74億
-99.16%-3.37億
-594.72%-2.04億
現金淨流量
期初現金流
-0.97%3.96億
-24.48%4億
27.70%2.31億
-35.80%1.91億
38.67%3.46億
-24.48%4億
42.90%5.3億
-15.38%1.81億
148.18%2.98億
76.13%2.49億
當期現金流變化
-125.50%-1.22億
96.06%-496.9萬
-25.70%1.64億
134.92%4,052.4萬
-419.32%-1.56億
80.64%-5,423.4萬
-179.70%-1.26億
-29.73%2.21億
-222.37%-1.16億
319.36%4,875.4萬
利率變動影響
-176.25%-6.1萬
130.80%109.6萬
107.25%18.9萬
51.38%-15.8萬
299.39%98.5萬
160.61%8萬
-573.90%-355.9萬
-653.72%-260.8萬
41.76%-32.5萬
-186.51%-49.4萬
期末現金流
-20.85%2.74億
-0.97%3.96億
-0.97%3.96億
27.70%2.31億
-35.80%1.91億
38.67%3.46億
-24.48%4億
-24.48%4億
-15.38%1.81億
148.18%2.98億
自由現金流
-93.29%208.6萬
-70.63%2.86億
-30.91%2.93億
-91.34%2,027.7萬
-124.97%-5,816.6萬
-62.23%3,110.1萬
96.78%9.73億
-6.98%4.23億
-8.62%2.34億
446.34%2.33億
貨幣單位
美元
美元
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美元
美元
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會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
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US-GAAP
審計意見
--
無保留意見
--
--
--
--
無保留意見
--
--
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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 26.15%9,885.4萬-51.35%5.46億-20.98%3.73億-67.97%8,896.5萬-97.86%564.6萬-27.27%7,836.5萬63.20%11.22億-3.87%4.72億-5.69%2.78億2,391.78%2.64億
持續經營淨收入 465.13%6,966.3萬111.62%4.22億80.70%1.53億57.95%1.66億105.94%9,013.4萬135.77%1,232.7萬521.64%1.99億7,011.84%8,470.2萬588.73%1.05億161.24%4,376.8萬
持續經營損益 50.45%-809.3萬-17.18%-5,041.5萬6.36%-1,305.9萬29.73%-1,116.9萬-104.21%-985.5萬-95.45%-1,633.2萬17.43%-4,302.2萬-45.44%-1,394.6萬-29.54%-1,589.4萬63.65%-482.6萬
折舊和攤銷 11.97%1.22億-15.70%4.27億-3.59%1.11億-8.73%1.05億-24.40%1.03億-22.86%1.09億-16.01%5.07億-24.02%1.15億-27.17%1.15億-6.43%1.36億
遞延稅費 89.34%-145.2萬434.44%1.15億229.21%3,112.7萬100.57%1.1億40.47%-1,260.6萬69.15%-1,361.8萬75.56%-3,443.3萬61.81%-2,409.1萬256.02%5,497萬-81.22%-2,117.5萬
其他非現金項目 -257.92%-75.8萬-61.40%742.8萬-37.44%260.2萬568.87%241萬-79.36%193.6萬-92.28%48萬30.80%1,924.4萬-36.32%415.9萬-110.43%-51.4萬1,077.04%938.1萬
營運資金變化 -385.44%-9,852.5萬-192.84%-4.1億-73.21%7,959.4萬-2,572.54%-2.93億-276.46%-1.76億-162.45%-2,029.6萬59.64%4.41億-24.80%2.97億-92.46%1,184.6萬163.39%9,971.3萬
-應收款項(增)減 -426.30%-2.5億-347.51%-5.87億-2.08%1.71億-132.49%-4.77億-1,799.79%-3.58億-68.90%7,672.4萬2,685.93%2.37億-50.64%1.75億-0.74%-2.05億111.25%2,108.8萬
-存貨(增)減 -852.68%-477.2萬-110.28%-270.9萬-36.63%481.8萬-140.47%-349.2萬-211.14%-466.9萬-89.28%63.4萬-20.21%2,634.5萬-10.01%760.3萬-58.67%862.9萬-55.15%420.1萬
-應付款項及應計費用(減)增 148.38%5,526.5萬254.90%2.51億-266.21%-6,549.7萬57.07%1.76億8,654.02%2.55億63.83%-1.14億-197.49%-1.62億-35.55%3,940.5萬-63.86%1.12億-64.77%291萬
-其他流動資產變化 389.56%5,119.5萬-417.88%-6,531.2萬64.88%-974萬-404.03%-3,793.7萬-98.11%4.5萬-152.90%-1,768萬-72.62%2,054.6萬-2,236.73%-2,773.7萬-67.09%1,247.8萬37.36%238.6萬
-其他流動負債變化 513.57%2,206.4萬-96.26%266.1萬-123.46%-1,883.5萬2,278.36%1,731.8萬119.97%58.2萬165.84%359.6萬288.02%7,112.9萬1,599.81%8,030萬93.82%-79.5萬88.43%-291.4萬
-其他營運資本變化 -8.41%2,807.7萬-102.95%-730.5萬-108.89%-204.2萬-61.92%3,228.7萬-194.67%-6,820.4萬-54.72%3,065.4萬401.18%2.48億206.39%2,297.1萬1,421.64%8,478.6萬100.62%7,204.2萬
非持續經營活動現金淨額
經營活動現金淨額 26.15%9,885.4萬-51.35%5.46億-20.98%3.73億-67.97%8,896.5萬-97.86%564.6萬-27.27%7,836.5萬63.20%11.22億-3.87%4.72億-5.69%2.78億2,391.78%2.64億
投資活動現金流量
持續投資活動現金淨額 -862.62%-3.36億-69.69%-2.67億-45.93%-1.12億-21.92%-6,867.4萬-352.38%-5,174.8萬-167.86%-3,490.5萬11.55%-1.57億-1,102.45%-7,669.2萬-86.37%-5,632.8萬77.99%-1,143.9萬
資本性支出 -104.74%-9,676.8萬-74.66%-2.6億-66.03%-8,022.1萬-57.43%-6,868.8萬-102.59%-6,381.2萬-86.01%-4,726.4萬22.85%-1.49億-35.83%-4,831.7萬-13.91%-4,363.1萬43.47%-3,149.8萬
固定資產交易的淨現金流 -29.43%977.9萬-14.74%5,630.4萬-17.92%1,396.2萬-12.62%1,568.3萬-36.72%1,280.1萬27.72%1,385.8萬-21.49%6,603.8萬-39.63%1,701萬34.29%1,794.9萬-10.59%2,022.9萬
業務交易的淨現金流 -5,540.50%-2.67億11.12%-7,104.4萬-0.96%-4,656.5萬48.94%-1,723.3萬---251.5萬-7,655.74%-473.1萬-15.20%-7,993.3萬-7,977.41%-4,612.2萬-583.61%-3,375萬--0
投資產品交易的淨現金流 517.43%1,636.2萬291.74%275萬146.30%10萬--0--04,306.35%265萬147.63%70.2萬---21.6萬762.50%180.2萬42.26%-82.1萬
其他投資活動的淨現金流 153.95%147.8萬3.77%473萬-15.42%80.6萬20.12%156.4萬173.12%177.8萬-64.77%58.2萬179.29%455.8萬-40.10%95.3萬1,769.23%130.2萬903.70%65.1萬
非持續投資活動現金淨額
投資活動現金淨額 -862.62%-3.36億-69.69%-2.67億-45.93%-1.12億-21.92%-6,867.4萬-352.38%-5,174.8萬-167.86%-3,490.5萬11.55%-1.57億-1,102.45%-7,669.2萬-86.37%-5,632.8萬77.99%-1,143.9萬
融資活動現金流量
持續融資活動現金淨額 217.56%1.15億74.00%-2.83億44.51%-9,639.7萬106.00%2,023.3萬46.35%-1.1億73.94%-9,769.4萬-210.61%-10.9億-2.54%-1.74億-99.16%-3.37億-594.72%-2.04億
債務發行/償還的淨現金流 377.31%1.43億89.26%-1.05億59.96%-5,947.1萬116.80%4,758.4萬77.77%-4,209.9萬85.73%-5,147.9萬-227.99%-9.82億10.85%-1.49億-83.77%-2.83億-466.83%-1.89億
普通股發行/償還的淨現金流 --0---7,732.6萬--0--0---5,048.3萬---2,684.3萬--0--0--0--0
職工行使股票期權收到的現金 -283.37%-1,825.6萬-90.46%-561.1萬-438.62%-78.1萬15.00%-3.4萬8.11%-3.4萬-74.82%-476.2萬71.48%-294.6萬-291.89%-14.5萬-8.11%-4萬-101.30%-3.7萬
其他融資活動的淨現金流額 33.96%-964.8萬9.83%-9,503.6萬-44.33%-3,614.5萬49.49%-2,731.7萬-14.64%-1,696.4萬-27.41%-1,461萬-155.18%-1.05億-804.12%-2,504.4萬-255.08%-5,408.6萬-12.10%-1,479.8萬
非持續融資活動現金淨額
融資活動現金淨額 217.56%1.15億74.00%-2.83億44.51%-9,639.7萬106.00%2,023.3萬46.35%-1.1億73.94%-9,769.4萬-210.61%-10.9億-2.54%-1.74億-99.16%-3.37億-594.72%-2.04億
現金淨流量
期初現金流 -0.97%3.96億-24.48%4億27.70%2.31億-35.80%1.91億38.67%3.46億-24.48%4億42.90%5.3億-15.38%1.81億148.18%2.98億76.13%2.49億
當期現金流變化 -125.50%-1.22億96.06%-496.9萬-25.70%1.64億134.92%4,052.4萬-419.32%-1.56億80.64%-5,423.4萬-179.70%-1.26億-29.73%2.21億-222.37%-1.16億319.36%4,875.4萬
利率變動影響 -176.25%-6.1萬130.80%109.6萬107.25%18.9萬51.38%-15.8萬299.39%98.5萬160.61%8萬-573.90%-355.9萬-653.72%-260.8萬41.76%-32.5萬-186.51%-49.4萬
期末現金流 -20.85%2.74億-0.97%3.96億-0.97%3.96億27.70%2.31億-35.80%1.91億38.67%3.46億-24.48%4億-24.48%4億-15.38%1.81億148.18%2.98億
自由現金流 -93.29%208.6萬-70.63%2.86億-30.91%2.93億-91.34%2,027.7萬-124.97%-5,816.6萬-62.23%3,110.1萬96.78%9.73億-6.98%4.23億-8.62%2.34億446.34%2.33億
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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