美股市場個股詳情

Phibro Animal Health (PAHC)

添加自選
  • 33.900
  • -0.280-0.82%
收盤價 05/19 16:00 (美東)
  • 33.900
  • 0.0000.00%
盤後 20:01 (美東)
13.75億總市值14.55市盈率TTM

Phibro Animal Health (PAHC) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2026/03/31
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額
-62.45%1,620.6萬
529.13%1,935.2萬
-26.30%930.2萬
-8.53%8,012.4萬
-25.17%2,127.2萬
278.28%4,315.4萬
-90.25%307.6萬
-22.08%1,262.2萬
558.11%8,759.4萬
40.47%2,842.9萬
持續經營淨收入
15.06%2,402.4萬
762.14%2,745.9萬
280.32%2,652.7萬
1,897.68%4,826.4萬
2,190.43%1,722.4萬
148.42%2,088萬
150.00%318.5萬
187.02%697.5萬
-92.59%241.6萬
-93.46%75.2萬
持續經營損益
141.20%233.5萬
-110.49%-124.5萬
53.77%-23.9萬
-97.48%60萬
-157.42%-508.3萬
-397.32%-566.7萬
2,020.23%1,186.7萬
-103.79%-51.7萬
328.77%2,378.8萬
264.74%885.3萬
折舊和攤銷
-1.33%1,244.8萬
11.38%1,289.1萬
42.49%1,283萬
26.06%4,560.5萬
34.89%1,241.1萬
37.19%1,261.6萬
29.90%1,157.4萬
1.50%900.4萬
6.37%3,617.8萬
7.31%920.1萬
遞延稅費
692.07%365.9萬
149.59%383.8萬
144.46%217.1萬
37.77%-487.9萬
259.70%836.2萬
-106.00%-61.8萬
-2,100.00%-774萬
-81.46%-488.3萬
-176.25%-784萬
-70.39%-523.6萬
其他非現金項目
-98.11%3.8萬
-37.79%106萬
1,392.55%121.5萬
1,226.82%605.1萬
139.15%243.3萬
-14.00%200.8萬
-19.77%170.4萬
-107.71%-9.4萬
-150.61%-53.7萬
-455.55%-621.5萬
營運資金變化
-416.91%-2,670.9萬
-41.77%-2,508.5萬
-1,813.02%-3,354.1萬
-165.11%-2,156.2萬
-168.22%-1,425.4萬
182.07%842.8萬
-191.20%-1,769.4萬
-36.57%195.8萬
180.50%3,311.4萬
204.37%2,089.5萬
-應收款項(增)減
-37.64%-477.6萬
106.67%233.3萬
23.44%1,136.6萬
-536.18%-5,520.8萬
-121.42%-2,595.7萬
69.21%-347萬
-2,379.41%-3,498.9萬
-27.96%920.8萬
-262.66%-867.8萬
-21.48%-1,172.3萬
-存貨(增)減
-40.75%-1,932.8萬
-144.49%-4,703.2萬
-406.99%-2,618.1萬
-1,777.17%-4,429.4萬
-172.21%-616.1萬
-929.73%-1,373.2萬
-657.06%-1,923.7萬
-3.18%-516.4萬
123.53%264.1萬
-55.65%853.2萬
-應付款項及應計費用(減)增
-109.18%-258.1萬
-69.06%1,177.8萬
-725.00%-1,831.5萬
283.29%9,271.4萬
117.94%2,873.5萬
1,065.20%2,812.6萬
151.82%3,807.3萬
-84.85%-222萬
184.64%2,418.9萬
442.47%1,318.5萬
-其他流動資產變化
99.04%-2.4萬
608.50%783.6萬
-406.72%-41.1萬
-198.74%-1,477.4萬
-199.72%-1,087.1萬
-210.39%-249.6萬
-129.14%-154.1萬
103.84%13.4萬
324.35%1,496.2萬
865.54%1,090.1萬
非持續經營活動現金淨額
經營活動現金淨額
-62.45%1,620.6萬
529.13%1,935.2萬
-26.30%930.2萬
-8.53%8,012.4萬
-25.17%2,127.2萬
278.28%4,315.4萬
-90.25%307.6萬
-22.08%1,262.2萬
558.11%8,759.4萬
40.47%2,842.9萬
投資活動現金流量
持續投資活動現金淨額
7.92%-1,680.6萬
93.40%-1,718.4萬
-617.20%-2,101.4萬
-499.01%-2.89億
22.80%-703.4萬
-1,715.13%-1,825.1萬
-947.72%-2.6億
80.91%-293萬
34.89%-4,819.4萬
11.39%-911.1萬
資本性支出
-97.73%-1,531.6萬
-41.87%-1,109.7萬
-44.07%-1,380.6萬
7.14%-3,829.3萬
-0.54%-1,314.2萬
20.40%-774.6萬
28.62%-782.2萬
-28.18%-958.3萬
20.38%-4,123.8萬
-20.03%-1,307.2萬
業務交易的淨現金流
--0
----
----
-8,630.32%-2.87億
--534.9萬
-2,493.18%-105.3萬
----
----
---328.2萬
--0
投資產品交易的淨現金流
65.00%-350萬
-117.15%-651.8萬
-158.40%-350.4萬
975.00%3,500萬
-77.89%100萬
-190.91%-1,000萬
429.78%3,800萬
175.00%600萬
82.61%-400萬
--452.3萬
其他投資活動的淨現金流
266.79%201萬
147.70%43.1萬
-667.23%-370.4萬
247.85%113.4萬
57.12%-24.1萬
399.45%54.8萬
-81.63%17.4萬
426.61%65.3萬
-57.99%32.6萬
-192.28%-56.2萬
非持續投資活動現金淨額
投資活動現金淨額
7.92%-1,680.6萬
93.40%-1,718.4萬
-617.20%-2,101.4萬
-499.01%-2.89億
22.80%-703.4萬
-1,715.13%-1,825.1萬
-947.72%-2.6億
80.91%-293萬
34.89%-4,819.4萬
11.39%-911.1萬
融資活動現金流量
持續融資活動現金淨額
92.86%-230萬
-106.87%-1,898萬
155.95%1,633.5萬
3,160.49%2.07億
-534.58%-776.6萬
-763.84%-3,222.3萬
1,979.09%2.76億
-2,352.85%-2,919.7萬
-125.08%-676.8萬
128.22%178.7萬
債務發行/償還的淨現金流
115.11%393.7萬
-104.26%-1,206.2萬
299.23%2,393.7萬
1,757.43%2.36億
-325.40%-906.1萬
-393.01%-2,606.3萬
3,593.21%2.83億
-252.18%-1,201.5萬
-70.24%1,270.5萬
168.66%402萬
現金股利支付
-0.06%-486.8萬
-0.08%-486.4萬
-0.08%-486.4萬
-0.04%-1,944.9萬
-0.06%-486.4萬
-0.10%-486.5萬
0.02%-486萬
0.00%-486萬
0.00%-1,944.2萬
0.00%-486.1萬
其他融資活動的淨現金流額
-5.71%-136.9萬
-5.60%-205.4萬
77.78%-273.8萬
-30,232.26%-940.3萬
134.36%615.9萬
-258.12%-129.5萬
-11.85%-194.5萬
-608.57%-1,232.2萬
-100.83%-3.1萬
-40.05%262.8萬
非持續融資活動現金淨額
融資活動現金淨額
92.86%-230萬
-106.87%-1,898萬
155.95%1,633.5萬
3,160.49%2.07億
-534.58%-776.6萬
-763.84%-3,222.3萬
1,979.09%2.76億
-2,352.85%-2,919.7萬
-125.08%-676.8萬
128.22%178.7萬
現金淨流量
期初現金流
-17.28%5,548.6萬
40.38%7,276.9萬
-3.65%6,803.9萬
71.05%7,061.3萬
20.17%6,035.4萬
103.44%6,707.4萬
20.12%5,183.7萬
71.05%7,061.3萬
-44.40%4,128.1萬
34.88%5,022.5萬
當期現金流變化
60.38%-290萬
-188.84%-1,681.2萬
123.70%462.3萬
-104.38%-143萬
-69.33%647.2萬
-142.09%-732萬
336.30%1,892.3萬
-1,010.17%-1,950.5萬
196.77%3,263.2萬
482.37%2,110.5萬
利率變動影響
290.50%234.3萬
87.22%-47.1萬
-85.32%10.7萬
65.33%-114.4萬
269.18%121.3萬
537.96%60萬
-69.47%-368.6萬
369.00%72.9萬
-537.67%-330萬
-271.12%-71.7萬
期末現金流
-8.99%5,492.9萬
-17.28%5,548.6萬
40.38%7,276.9萬
-3.65%6,803.9萬
-3.65%6,803.9萬
20.17%6,035.4萬
103.44%6,707.4萬
20.12%5,183.7萬
71.05%7,061.3萬
71.05%7,061.3萬
自由現金流
-97.49%89萬
273.94%825.5萬
-248.21%-450.4萬
-9.76%4,183.1萬
-47.06%813萬
2,011.39%3,540.8萬
-123.04%-474.6萬
-65.16%303.9萬
220.46%4,635.6萬
64.30%1,535.7萬
貨幣單位
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會計準則
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審計意見
--
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--
無保留意見
--
--
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無保留意見
--
(Q3)2026/03/31(Q2)2025/12/31(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額 -62.45%1,620.6萬529.13%1,935.2萬-26.30%930.2萬-8.53%8,012.4萬-25.17%2,127.2萬278.28%4,315.4萬-90.25%307.6萬-22.08%1,262.2萬558.11%8,759.4萬40.47%2,842.9萬
持續經營淨收入 15.06%2,402.4萬762.14%2,745.9萬280.32%2,652.7萬1,897.68%4,826.4萬2,190.43%1,722.4萬148.42%2,088萬150.00%318.5萬187.02%697.5萬-92.59%241.6萬-93.46%75.2萬
持續經營損益 141.20%233.5萬-110.49%-124.5萬53.77%-23.9萬-97.48%60萬-157.42%-508.3萬-397.32%-566.7萬2,020.23%1,186.7萬-103.79%-51.7萬328.77%2,378.8萬264.74%885.3萬
折舊和攤銷 -1.33%1,244.8萬11.38%1,289.1萬42.49%1,283萬26.06%4,560.5萬34.89%1,241.1萬37.19%1,261.6萬29.90%1,157.4萬1.50%900.4萬6.37%3,617.8萬7.31%920.1萬
遞延稅費 692.07%365.9萬149.59%383.8萬144.46%217.1萬37.77%-487.9萬259.70%836.2萬-106.00%-61.8萬-2,100.00%-774萬-81.46%-488.3萬-176.25%-784萬-70.39%-523.6萬
其他非現金項目 -98.11%3.8萬-37.79%106萬1,392.55%121.5萬1,226.82%605.1萬139.15%243.3萬-14.00%200.8萬-19.77%170.4萬-107.71%-9.4萬-150.61%-53.7萬-455.55%-621.5萬
營運資金變化 -416.91%-2,670.9萬-41.77%-2,508.5萬-1,813.02%-3,354.1萬-165.11%-2,156.2萬-168.22%-1,425.4萬182.07%842.8萬-191.20%-1,769.4萬-36.57%195.8萬180.50%3,311.4萬204.37%2,089.5萬
-應收款項(增)減 -37.64%-477.6萬106.67%233.3萬23.44%1,136.6萬-536.18%-5,520.8萬-121.42%-2,595.7萬69.21%-347萬-2,379.41%-3,498.9萬-27.96%920.8萬-262.66%-867.8萬-21.48%-1,172.3萬
-存貨(增)減 -40.75%-1,932.8萬-144.49%-4,703.2萬-406.99%-2,618.1萬-1,777.17%-4,429.4萬-172.21%-616.1萬-929.73%-1,373.2萬-657.06%-1,923.7萬-3.18%-516.4萬123.53%264.1萬-55.65%853.2萬
-應付款項及應計費用(減)增 -109.18%-258.1萬-69.06%1,177.8萬-725.00%-1,831.5萬283.29%9,271.4萬117.94%2,873.5萬1,065.20%2,812.6萬151.82%3,807.3萬-84.85%-222萬184.64%2,418.9萬442.47%1,318.5萬
-其他流動資產變化 99.04%-2.4萬608.50%783.6萬-406.72%-41.1萬-198.74%-1,477.4萬-199.72%-1,087.1萬-210.39%-249.6萬-129.14%-154.1萬103.84%13.4萬324.35%1,496.2萬865.54%1,090.1萬
非持續經營活動現金淨額
經營活動現金淨額 -62.45%1,620.6萬529.13%1,935.2萬-26.30%930.2萬-8.53%8,012.4萬-25.17%2,127.2萬278.28%4,315.4萬-90.25%307.6萬-22.08%1,262.2萬558.11%8,759.4萬40.47%2,842.9萬
投資活動現金流量
持續投資活動現金淨額 7.92%-1,680.6萬93.40%-1,718.4萬-617.20%-2,101.4萬-499.01%-2.89億22.80%-703.4萬-1,715.13%-1,825.1萬-947.72%-2.6億80.91%-293萬34.89%-4,819.4萬11.39%-911.1萬
資本性支出 -97.73%-1,531.6萬-41.87%-1,109.7萬-44.07%-1,380.6萬7.14%-3,829.3萬-0.54%-1,314.2萬20.40%-774.6萬28.62%-782.2萬-28.18%-958.3萬20.38%-4,123.8萬-20.03%-1,307.2萬
業務交易的淨現金流 --0---------8,630.32%-2.87億--534.9萬-2,493.18%-105.3萬-----------328.2萬--0
投資產品交易的淨現金流 65.00%-350萬-117.15%-651.8萬-158.40%-350.4萬975.00%3,500萬-77.89%100萬-190.91%-1,000萬429.78%3,800萬175.00%600萬82.61%-400萬--452.3萬
其他投資活動的淨現金流 266.79%201萬147.70%43.1萬-667.23%-370.4萬247.85%113.4萬57.12%-24.1萬399.45%54.8萬-81.63%17.4萬426.61%65.3萬-57.99%32.6萬-192.28%-56.2萬
非持續投資活動現金淨額
投資活動現金淨額 7.92%-1,680.6萬93.40%-1,718.4萬-617.20%-2,101.4萬-499.01%-2.89億22.80%-703.4萬-1,715.13%-1,825.1萬-947.72%-2.6億80.91%-293萬34.89%-4,819.4萬11.39%-911.1萬
融資活動現金流量
持續融資活動現金淨額 92.86%-230萬-106.87%-1,898萬155.95%1,633.5萬3,160.49%2.07億-534.58%-776.6萬-763.84%-3,222.3萬1,979.09%2.76億-2,352.85%-2,919.7萬-125.08%-676.8萬128.22%178.7萬
債務發行/償還的淨現金流 115.11%393.7萬-104.26%-1,206.2萬299.23%2,393.7萬1,757.43%2.36億-325.40%-906.1萬-393.01%-2,606.3萬3,593.21%2.83億-252.18%-1,201.5萬-70.24%1,270.5萬168.66%402萬
現金股利支付 -0.06%-486.8萬-0.08%-486.4萬-0.08%-486.4萬-0.04%-1,944.9萬-0.06%-486.4萬-0.10%-486.5萬0.02%-486萬0.00%-486萬0.00%-1,944.2萬0.00%-486.1萬
其他融資活動的淨現金流額 -5.71%-136.9萬-5.60%-205.4萬77.78%-273.8萬-30,232.26%-940.3萬134.36%615.9萬-258.12%-129.5萬-11.85%-194.5萬-608.57%-1,232.2萬-100.83%-3.1萬-40.05%262.8萬
非持續融資活動現金淨額
融資活動現金淨額 92.86%-230萬-106.87%-1,898萬155.95%1,633.5萬3,160.49%2.07億-534.58%-776.6萬-763.84%-3,222.3萬1,979.09%2.76億-2,352.85%-2,919.7萬-125.08%-676.8萬128.22%178.7萬
現金淨流量
期初現金流 -17.28%5,548.6萬40.38%7,276.9萬-3.65%6,803.9萬71.05%7,061.3萬20.17%6,035.4萬103.44%6,707.4萬20.12%5,183.7萬71.05%7,061.3萬-44.40%4,128.1萬34.88%5,022.5萬
當期現金流變化 60.38%-290萬-188.84%-1,681.2萬123.70%462.3萬-104.38%-143萬-69.33%647.2萬-142.09%-732萬336.30%1,892.3萬-1,010.17%-1,950.5萬196.77%3,263.2萬482.37%2,110.5萬
利率變動影響 290.50%234.3萬87.22%-47.1萬-85.32%10.7萬65.33%-114.4萬269.18%121.3萬537.96%60萬-69.47%-368.6萬369.00%72.9萬-537.67%-330萬-271.12%-71.7萬
期末現金流 -8.99%5,492.9萬-17.28%5,548.6萬40.38%7,276.9萬-3.65%6,803.9萬-3.65%6,803.9萬20.17%6,035.4萬103.44%6,707.4萬20.12%5,183.7萬71.05%7,061.3萬71.05%7,061.3萬
自由現金流 -97.49%89萬273.94%825.5萬-248.21%-450.4萬-9.76%4,183.1萬-47.06%813萬2,011.39%3,540.8萬-123.04%-474.6萬-65.16%303.9萬220.46%4,635.6萬64.30%1,535.7萬
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