美股市場個股詳情

奧特泰爾 (OTTR)

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  • 90.950
  • +1.290+1.44%
交易中 07/02 13:33 (美東)
38.18億總市值13.66市盈率TTM

奧特泰爾 (OTTR) 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
78.90%7,061.1萬
-14.74%3.86億
-25.33%9,703.6萬
30.46%1.3億
-20.88%1.2億
-45.12%3,946.9萬
11.92%4.53億
51.10%1.3億
-25.88%9,931.4萬
17.53%1.52億
持續經營淨收入
6.62%7,261萬
-8.54%2.76億
-5.61%5,177.4萬
-8.41%7,829.2萬
-10.65%7,772.8萬
-8.39%6,809.9萬
2.54%3.02億
-5.05%5,485萬
-7.06%8,547.9萬
6.13%8,699.5萬
持續經營損益
4,348.65%164.6萬
-22.24%-670.1萬
-430.04%-118.2萬
-29.33%-277.8萬
-282.64%-277.8萬
101.55%3.7萬
24.09%-548.2萬
93.61%-22.3萬
-482.89%-214.8萬
70.56%-72.6萬
折舊和攤銷
2.06%2,997.9萬
10.26%1.18億
7.95%2,973.1萬
9.25%2,955.4萬
10.57%2,944.7萬
13.43%2,937.5萬
9.36%1.07億
8.78%2,754.2萬
10.20%2,705.1萬
9.90%2,663.1萬
遞延稅費
-41.62%93.7萬
42.16%3,251.8萬
26.55%1,846.8萬
1,075.69%818.6萬
194.13%425.9萬
-79.08%160.5萬
79.21%2,287.5萬
478.67%1,459.4萬
-144.02%-83.9萬
193.12%144.8萬
其他非現金項目
-61.51%-156.5萬
-29.86%-404萬
57.20%-40.4萬
-106.44%-189.1萬
-105.84%-77.6萬
-10.87%-96.9萬
-635.46%-311.1萬
-264.48%-94.4萬
-181.85%-91.6萬
-654.41%-37.7萬
營運資金變化
38.89%-3,937.6萬
-293.23%-3,891.1萬
-107.23%-236.4萬
265.52%1,749.7萬
-71.35%1,039.2萬
-68.46%-6,443.6萬
3,987.45%2,013.7萬
871.18%3,269萬
-171.21%-1,057.1萬
54.78%3,626.7萬
-應收款項(增)減
0.97%-3,771.9萬
-95.81%46.8萬
-47.41%2,119.8萬
149.06%1,412.9萬
-13.41%322.8萬
1.15%-3,808.7萬
187.68%1,117.9萬
11.87%4,030.9萬
219.43%567.3萬
119.11%372.8萬
-存貨(增)減
19.86%182.9萬
-228.72%-475.1萬
-132.50%-191.4萬
-128.93%-270.6萬
87.70%-165.7萬
-20.52%152.6萬
250.65%369.1萬
180.42%588.9萬
277.59%935.3萬
-1,539.21%-1,347.1萬
-應付款項及應計費用(減)增
50.72%-1,490.7萬
-478.52%-1,686.3萬
-165.97%-463.1萬
131.41%769.2萬
-72.91%1,032.4萬
-86.98%-3,024.8萬
144.63%445.5萬
130.09%702萬
-247.71%-2,449.2萬
60.30%3,810.4萬
-其他流動資產變化
96.52%519萬
-124.95%-1,450萬
-66.11%-1,805.6萬
-154.93%-55.7萬
132.97%147.2萬
-66.46%264.1萬
-142.14%-644.6萬
-461.13%-1,087萬
-27.83%101.4萬
-189.18%-446.5萬
-其他流動負債變化
302.60%665.1萬
-86.98%219萬
135.16%255.3萬
-355.00%-56.1萬
-110.03%-145.4萬
-82.36%165.2萬
-19.80%1,682.1萬
-1,056.37%-726.2萬
103.95%22萬
-36.27%1,449.8萬
-其他營運資本變化
78.13%-42萬
42.96%-545.5萬
36.81%-151.4萬
78.62%-50萬
28.49%-152.1萬
28.92%-192萬
17.60%-956.3萬
45.50%-239.6萬
-28.02%-233.9萬
28.41%-212.7萬
非持續經營活動現金淨額
經營活動現金淨額
78.90%7,061.1萬
-14.74%3.86億
-25.33%9,703.6萬
30.46%1.3億
-20.88%1.2億
-45.12%3,946.9萬
11.92%4.53億
51.10%1.3億
-25.88%9,931.4萬
17.53%1.52億
投資活動現金流量
持續投資活動現金淨額
-207.02%-1.87億
29.33%-2.91億
24.69%-7,471萬
-5.81%-8,898.8萬
56.56%-6,611.5萬
19.72%-6,091.1萬
-42.20%-4.11億
-73.23%-9,920.8萬
-7.28%-8,410.1萬
-185.82%-1.52億
資本性支出
-219.38%-1.85億
19.68%-2.88億
24.43%-7,473.9萬
-5.78%-8,909萬
34.74%-6,622.7萬
21.65%-5,801.2萬
-24.91%-3.59億
-72.65%-9,890萬
-7.52%-8,422.2萬
-89.99%-1.01億
投資產品交易的淨現金流
-12.41%-469.3萬
84.44%-958.1萬
21.59%-193.9萬
-43.36%-206.3萬
97.37%-140.4萬
3.60%-417.5萬
-634.94%-6,157.3萬
-69.04%-247.3萬
21.62%-143.9萬
-2,911.29%-5,333萬
其他投資活動的淨現金流
132.45%296.6萬
-21.74%692.5萬
-9.10%196.8萬
38.78%216.5萬
-42.25%151.6萬
-48.94%127.6萬
42.15%884.9萬
46.38%216.5萬
-12.16%156萬
35.31%262.5萬
非持續投資活動現金淨額
投資活動現金淨額
-207.02%-1.87億
29.33%-2.91億
24.69%-7,471萬
-5.81%-8,898.8萬
56.56%-6,611.5萬
19.72%-6,091.1萬
-42.20%-4.11億
-73.23%-9,920.8萬
-7.28%-8,410.1萬
-185.82%-1.52億
融資活動現金流量
持續融資活動現金淨額
576.93%7,855.8萬
-116.23%-371.9萬
336.28%3,808.1萬
-164.56%-2,203.7萬
-358.26%-3,136.8萬
-1.22%1,160.5萬
697.68%2,292.1萬
-229.72%-1,611.7萬
301.16%3,413.5萬
76.56%-684.5萬
債務發行/償還的淨現金流
174.55%1.08億
-16.24%9,062.7萬
2,620.96%6,024.2萬
--0
-169.11%-885.3萬
1.71%3,923.8萬
47.77%1.08億
-92.60%221.4萬
4,102.54%5,459.1萬
220.20%1,281萬
普通股發行/償還的淨現金流
-26.77%-397.3萬
51.46%-313.4萬
--0
--0
--0
45.53%-313.4萬
-109.10%-645.7萬
--0
---70.4萬
--1,000
現金股利支付
-10.22%-2,425.1萬
-12.52%-8,806.4萬
-12.50%-2,202萬
-12.52%-2,202.1萬
-12.52%-2,202萬
-12.53%-2,200.3萬
-7.12%-7,826.6萬
-7.14%-1,957.3萬
-7.13%-1,957.1萬
-7.12%-1,956.9萬
其他融資活動的淨現金流額
62.06%-94.7萬
-473.41%-314.8萬
-111.35%-14.1萬
91.16%-1.6萬
-468.97%-49.5萬
-63.89%-249.6萬
39.27%-54.9萬
61.93%124.2萬
---18.1萬
68.36%-8.7萬
非持續融資活動現金淨額
融資活動現金淨額
576.93%7,855.8萬
-116.23%-371.9萬
336.28%3,808.1萬
-164.56%-2,203.7萬
-358.26%-3,136.8萬
-1.22%1,160.5萬
697.68%2,292.1萬
-229.72%-1,611.7萬
301.16%3,413.5萬
76.56%-684.5萬
現金淨流量
期初現金流
31.07%3.86億
27.90%2.95億
16.34%3.26億
33.19%3.07億
19.59%2.85億
27.90%2.95億
93.60%2.3億
47.99%2.8億
53.19%2.31億
128.82%2.38億
當期現金流變化
-284.66%-3,783.9萬
42.42%9,154.2萬
312.87%6,040.7萬
-62.42%1,854.5萬
399.59%2,242.7萬
-226.36%-983.7萬
-42.29%6,427.8萬
-64.45%1,463.1萬
27.73%4,934.8萬
-116.10%-748.6萬
期末現金流
22.31%3.48億
31.07%3.86億
31.07%3.86億
16.34%3.26億
33.19%3.07億
19.59%2.85億
27.90%2.95億
27.90%2.95億
47.99%2.8億
53.19%2.31億
自由現金流
-518.40%-1.15億
4.08%9,791.7萬
-28.20%2,229.7萬
168.22%4,048萬
7.23%5,368.3萬
-770.15%-1,854.3萬
-19.84%9,408.1萬
8.14%3,105.6萬
-72.89%1,509.2萬
-33.72%5,006.4萬
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)2026/03/31(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 78.90%7,061.1萬-14.74%3.86億-25.33%9,703.6萬30.46%1.3億-20.88%1.2億-45.12%3,946.9萬11.92%4.53億51.10%1.3億-25.88%9,931.4萬17.53%1.52億
持續經營淨收入 6.62%7,261萬-8.54%2.76億-5.61%5,177.4萬-8.41%7,829.2萬-10.65%7,772.8萬-8.39%6,809.9萬2.54%3.02億-5.05%5,485萬-7.06%8,547.9萬6.13%8,699.5萬
持續經營損益 4,348.65%164.6萬-22.24%-670.1萬-430.04%-118.2萬-29.33%-277.8萬-282.64%-277.8萬101.55%3.7萬24.09%-548.2萬93.61%-22.3萬-482.89%-214.8萬70.56%-72.6萬
折舊和攤銷 2.06%2,997.9萬10.26%1.18億7.95%2,973.1萬9.25%2,955.4萬10.57%2,944.7萬13.43%2,937.5萬9.36%1.07億8.78%2,754.2萬10.20%2,705.1萬9.90%2,663.1萬
遞延稅費 -41.62%93.7萬42.16%3,251.8萬26.55%1,846.8萬1,075.69%818.6萬194.13%425.9萬-79.08%160.5萬79.21%2,287.5萬478.67%1,459.4萬-144.02%-83.9萬193.12%144.8萬
其他非現金項目 -61.51%-156.5萬-29.86%-404萬57.20%-40.4萬-106.44%-189.1萬-105.84%-77.6萬-10.87%-96.9萬-635.46%-311.1萬-264.48%-94.4萬-181.85%-91.6萬-654.41%-37.7萬
營運資金變化 38.89%-3,937.6萬-293.23%-3,891.1萬-107.23%-236.4萬265.52%1,749.7萬-71.35%1,039.2萬-68.46%-6,443.6萬3,987.45%2,013.7萬871.18%3,269萬-171.21%-1,057.1萬54.78%3,626.7萬
-應收款項(增)減 0.97%-3,771.9萬-95.81%46.8萬-47.41%2,119.8萬149.06%1,412.9萬-13.41%322.8萬1.15%-3,808.7萬187.68%1,117.9萬11.87%4,030.9萬219.43%567.3萬119.11%372.8萬
-存貨(增)減 19.86%182.9萬-228.72%-475.1萬-132.50%-191.4萬-128.93%-270.6萬87.70%-165.7萬-20.52%152.6萬250.65%369.1萬180.42%588.9萬277.59%935.3萬-1,539.21%-1,347.1萬
-應付款項及應計費用(減)增 50.72%-1,490.7萬-478.52%-1,686.3萬-165.97%-463.1萬131.41%769.2萬-72.91%1,032.4萬-86.98%-3,024.8萬144.63%445.5萬130.09%702萬-247.71%-2,449.2萬60.30%3,810.4萬
-其他流動資產變化 96.52%519萬-124.95%-1,450萬-66.11%-1,805.6萬-154.93%-55.7萬132.97%147.2萬-66.46%264.1萬-142.14%-644.6萬-461.13%-1,087萬-27.83%101.4萬-189.18%-446.5萬
-其他流動負債變化 302.60%665.1萬-86.98%219萬135.16%255.3萬-355.00%-56.1萬-110.03%-145.4萬-82.36%165.2萬-19.80%1,682.1萬-1,056.37%-726.2萬103.95%22萬-36.27%1,449.8萬
-其他營運資本變化 78.13%-42萬42.96%-545.5萬36.81%-151.4萬78.62%-50萬28.49%-152.1萬28.92%-192萬17.60%-956.3萬45.50%-239.6萬-28.02%-233.9萬28.41%-212.7萬
非持續經營活動現金淨額
經營活動現金淨額 78.90%7,061.1萬-14.74%3.86億-25.33%9,703.6萬30.46%1.3億-20.88%1.2億-45.12%3,946.9萬11.92%4.53億51.10%1.3億-25.88%9,931.4萬17.53%1.52億
投資活動現金流量
持續投資活動現金淨額 -207.02%-1.87億29.33%-2.91億24.69%-7,471萬-5.81%-8,898.8萬56.56%-6,611.5萬19.72%-6,091.1萬-42.20%-4.11億-73.23%-9,920.8萬-7.28%-8,410.1萬-185.82%-1.52億
資本性支出 -219.38%-1.85億19.68%-2.88億24.43%-7,473.9萬-5.78%-8,909萬34.74%-6,622.7萬21.65%-5,801.2萬-24.91%-3.59億-72.65%-9,890萬-7.52%-8,422.2萬-89.99%-1.01億
投資產品交易的淨現金流 -12.41%-469.3萬84.44%-958.1萬21.59%-193.9萬-43.36%-206.3萬97.37%-140.4萬3.60%-417.5萬-634.94%-6,157.3萬-69.04%-247.3萬21.62%-143.9萬-2,911.29%-5,333萬
其他投資活動的淨現金流 132.45%296.6萬-21.74%692.5萬-9.10%196.8萬38.78%216.5萬-42.25%151.6萬-48.94%127.6萬42.15%884.9萬46.38%216.5萬-12.16%156萬35.31%262.5萬
非持續投資活動現金淨額
投資活動現金淨額 -207.02%-1.87億29.33%-2.91億24.69%-7,471萬-5.81%-8,898.8萬56.56%-6,611.5萬19.72%-6,091.1萬-42.20%-4.11億-73.23%-9,920.8萬-7.28%-8,410.1萬-185.82%-1.52億
融資活動現金流量
持續融資活動現金淨額 576.93%7,855.8萬-116.23%-371.9萬336.28%3,808.1萬-164.56%-2,203.7萬-358.26%-3,136.8萬-1.22%1,160.5萬697.68%2,292.1萬-229.72%-1,611.7萬301.16%3,413.5萬76.56%-684.5萬
債務發行/償還的淨現金流 174.55%1.08億-16.24%9,062.7萬2,620.96%6,024.2萬--0-169.11%-885.3萬1.71%3,923.8萬47.77%1.08億-92.60%221.4萬4,102.54%5,459.1萬220.20%1,281萬
普通股發行/償還的淨現金流 -26.77%-397.3萬51.46%-313.4萬--0--0--045.53%-313.4萬-109.10%-645.7萬--0---70.4萬--1,000
現金股利支付 -10.22%-2,425.1萬-12.52%-8,806.4萬-12.50%-2,202萬-12.52%-2,202.1萬-12.52%-2,202萬-12.53%-2,200.3萬-7.12%-7,826.6萬-7.14%-1,957.3萬-7.13%-1,957.1萬-7.12%-1,956.9萬
其他融資活動的淨現金流額 62.06%-94.7萬-473.41%-314.8萬-111.35%-14.1萬91.16%-1.6萬-468.97%-49.5萬-63.89%-249.6萬39.27%-54.9萬61.93%124.2萬---18.1萬68.36%-8.7萬
非持續融資活動現金淨額
融資活動現金淨額 576.93%7,855.8萬-116.23%-371.9萬336.28%3,808.1萬-164.56%-2,203.7萬-358.26%-3,136.8萬-1.22%1,160.5萬697.68%2,292.1萬-229.72%-1,611.7萬301.16%3,413.5萬76.56%-684.5萬
現金淨流量
期初現金流 31.07%3.86億27.90%2.95億16.34%3.26億33.19%3.07億19.59%2.85億27.90%2.95億93.60%2.3億47.99%2.8億53.19%2.31億128.82%2.38億
當期現金流變化 -284.66%-3,783.9萬42.42%9,154.2萬312.87%6,040.7萬-62.42%1,854.5萬399.59%2,242.7萬-226.36%-983.7萬-42.29%6,427.8萬-64.45%1,463.1萬27.73%4,934.8萬-116.10%-748.6萬
期末現金流 22.31%3.48億31.07%3.86億31.07%3.86億16.34%3.26億33.19%3.07億19.59%2.85億27.90%2.95億27.90%2.95億47.99%2.8億53.19%2.31億
自由現金流 -518.40%-1.15億4.08%9,791.7萬-28.20%2,229.7萬168.22%4,048萬7.23%5,368.3萬-770.15%-1,854.3萬-19.84%9,408.1萬8.14%3,105.6萬-72.89%1,509.2萬-33.72%5,006.4萬
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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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