美股市場個股詳情

Payoneer Global (PAYO)

添加自選
  • 5.000
  • +0.040+0.81%
收盤價 05/21 15:59 (美東)
  • 4.970
  • -0.030-0.60%
盤後 16:33 (美東)
16.74億總市值25.00市盈率TTM

Payoneer Global (PAYO) 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
-3.51%5,183.1萬
31.97%2.33億
19.67%5,491.2萬
8.08%5,417.6萬
70.72%7,068.5萬
35.96%5,371.6萬
11.16%1.77億
-20.66%4,588.6萬
21.05%5,012.5萬
-26.09%4,140.4萬
持續經營淨收入
-4.90%1,956.8萬
-39.59%7,319.2萬
4.52%1,901.2萬
-66.03%1,412.3萬
-39.92%1,948萬
-28.98%2,057.7萬
29.82%1.21億
-32.68%1,819萬
224.16%4,157.4萬
-28.81%3,242.5萬
持續經營損益
134.83%59萬
-132.46%-503.1萬
-101.82%-6.6萬
-92.90%87.5萬
-1,656.78%-414.6萬
-670.00%-169.4萬
171.37%1,550.1萬
121.43%363.1萬
34.48%1,232.6萬
98.29%-23.6萬
折舊和攤銷
31.45%1,891.6萬
40.22%6,372.6萬
49.31%1,764.3萬
19.47%1,614萬
45.19%1,555.3萬
52.95%1,439萬
65.32%4,544.6萬
40.23%1,181.6萬
89.85%1,351萬
81.28%1,071.2萬
遞延稅費
51.38%-110.8萬
23.04%-1,740.5萬
-1.82%-564.4萬
71.68%-380.4萬
-153.14%-567.8萬
-63.14%-227.9萬
-103.34%-2,261.6萬
-714.52%-554.3萬
-513.10%-1,343.3萬
80.73%-224.3萬
其他非現金項目
43.50%-531.7萬
39.11%-1,219萬
25.80%-1,010.4萬
93.92%-19萬
368.26%751.4萬
-1,885.23%-941萬
-6,278.70%-2,001.9萬
---1,361.8萬
---312.6萬
---280.1萬
營運資金變化
-95.08%65.8萬
292.53%5,619.4萬
43.26%1,568.1萬
150.85%923.3萬
276.94%1,790.3萬
212.81%1,337.7萬
-639.00%-2,918.7萬
-48.11%1,094.6萬
-2,071.89%-1,815.7萬
-173.31%-1,011.8萬
-應收款項(增)減
-185.60%-218.7萬
355.19%153.4萬
147.42%393.9萬
83.25%-44.7萬
-786.91%-451.3萬
237.96%255.5萬
-93.12%33.7萬
100.81%159.2萬
-101.33%-266.8萬
253.15%65.7萬
-預付費用(增)減
23.69%-6,416萬
4.93%-3.13億
-12.71%-7,785.7萬
35.72%-6,818.4萬
-12.08%-8,314.5萬
-4.87%-8,407.8萬
-10.15%-3.3億
---6,907.7萬
---1.06億
-9.55%-7,418.4萬
-應付款項及應計費用(減)增
-9.57%-2,190.4萬
38.81%707.1萬
-0.50%279.5萬
-39.71%925.1萬
852.68%1,501.6萬
-80.70%-1,999.1萬
-3.76%509.4萬
-98.72%280.9萬
107.81%1,534.3萬
-195.55%-199.5萬
-其他流動資產變化
-51.13%981.5萬
149.25%1,589.2萬
182.17%445.1萬
107.56%144.2萬
1.49%-1,008.3萬
720.34%2,008.2萬
-1,727.95%-3,226.6萬
-219.92%-541.7萬
-132.07%-1,906.2萬
-196.23%-1,023.5萬
-其他流動負債變化
945.45%660.3萬
184.05%1,806萬
-50.38%497.4萬
296.79%951.5萬
389.94%435.2萬
-129.26%-78.1萬
2,640.52%635.8萬
503.55%1,002.5萬
-1,231.96%-483.5萬
-248.26%-150.1萬
-其他營運資本變化
-24.16%7,249.1萬
1.90%3.27億
8.96%7,737.9萬
-41.85%5,765.6萬
24.81%9,627.6萬
30.05%9,559萬
9.81%3.21億
-75.59%7,101.4萬
173.42%9,914.3萬
10.75%7,714萬
非持續經營活動現金淨額
經營活動現金淨額
-3.51%5,183.1萬
31.97%2.33億
19.67%5,491.2萬
8.08%5,417.6萬
70.72%7,068.5萬
35.96%5,371.6萬
10.93%1.77億
-21.11%4,588.6萬
21.05%5,012.5萬
-26.09%4,140.4萬
投資活動現金流量
持續投資活動現金淨額
-26.89%-6,089萬
88.87%-2.18億
66.73%-4,896.6萬
95.77%-3,586.8萬
89.95%-8,552.5萬
57.96%-4,798.6萬
-4,331.84%-19.61億
-4,304.60%-1.47億
-5,506.76%-8.49億
-13,098.19%-8.51億
資本性支出
-15.88%-1,861.9萬
-16.57%-6,085.5萬
-35.35%-1,696.9萬
-12.76%-1,389.3萬
-4.79%-1,392.6萬
-14.32%-1,606.7萬
-32.72%-5,220.3萬
10.52%-1,253.7萬
0.65%-1,232.1萬
-149.20%-1,329萬
固定資產交易的淨現金流
-114.73%-1,014.8萬
-228.17%-2,687.4萬
-290.08%-1,458.9萬
-202.43%-498.1萬
-117.37%-257.8萬
-192.45%-472.6萬
3.19%-818.9萬
9.29%-374萬
13.95%-164.7萬
-80.24%-118.6萬
業務交易的淨現金流
---647.9萬
31.39%-3,308.1萬
--0
--0
---3,308.1萬
--0
-909.98%-4,821.8萬
--1,000
---4,821.9萬
--0
投資產品交易的淨現金流
55.62%-331.4萬
96.74%-5,875.3萬
77.90%-3,542.9萬
99.17%-585萬
98.80%-1,000.6萬
92.43%-746.8萬
---18.02億
---1.6億
---7.08億
---8.36億
其他投資活動的淨現金流
-13.21%-2,233萬
23.48%-3,878.2萬
-38.71%1,802.1萬
85.92%-1,114.4萬
-2,176.91%-2,593.4萬
-11,501.73%-1,972.5萬
-1,998.76%-5,068.5萬
35.90%2,940.1萬
-363.61%-7,912萬
-148.69%-113.9萬
非持續投資活動現金淨額
投資活動現金淨額
-26.89%-6,089萬
88.87%-2.18億
66.73%-4,896.6萬
95.77%-3,586.8萬
89.95%-8,552.5萬
57.96%-4,798.6萬
-4,331.84%-19.61億
-4,304.60%-1.47億
-5,506.76%-8.49億
-13,098.19%-8.51億
融資活動現金流量
持續融資活動現金淨額
4.17%-3.86億
72.53%7.38億
-18.93%7.01億
431.55%3,477.9萬
421.25%4.05億
22.77%-4.02億
-16.44%4.28億
-13.93%8.65億
103.69%654.3萬
58.30%7,763.8萬
債務發行/償還的淨現金流
----
--0
--0
--0
--0
--0
-909.99%-1,841.1萬
-606.48%-1,321.9萬
-1,189.51%-176.5萬
137.45%55.5萬
普通股發行/償還的淨現金流
-322.41%-7,499.1萬
-26.24%-1.74億
-360.67%-7,857.2萬
-107.65%-4,527.3萬
37.40%-3,200.3萬
62.65%-1,775.3萬
-148.06%-1.38億
45.31%-1,705.6萬
-206.05%-2,180.3萬
-122.38%-5,112.5萬
職工行使股票期權收到的現金
42.20%-254.3萬
-148.09%-61.8萬
279.92%395.1萬
72.08%-238.6萬
--221.7萬
---440萬
-90.27%128.5萬
---219.6萬
---854.6萬
----
其他融資活動的淨現金流額
18.98%-3.08億
56.63%9.12億
-13.55%7.76億
113.26%8,243.8萬
273.96%4.34億
19.02%-3.8億
5.53%5.82億
-12.05%8.97億
124.43%3,865.7萬
89.14%1.16億
非持續融資活動現金淨額
融資活動現金淨額
4.17%-3.86億
72.53%7.38億
-18.93%7.01億
431.55%3,477.9萬
421.25%4.05億
22.77%-4.02億
-16.44%4.28億
-13.93%8.65億
103.69%654.3萬
58.30%7,763.8萬
現金淨流量
期初現金流
13.41%64.17億
-19.38%56.58億
16.56%57.1億
-0.54%56.57億
-18.03%52.63億
-19.38%56.58億
9.89%70.18億
-17.63%48.98億
-6.27%56.88億
7.56%64.21億
當期現金流變化
0.50%-3.95億
155.52%7.53億
-7.40%7.07億
106.70%5,308.7萬
153.25%3.9億
33.41%-3.97億
-316.29%-13.57億
-28.41%7.63億
-559.13%-7.92億
-842.40%-7.32億
利率變動影響
-143.02%-80.8萬
248.05%531.2萬
103.65%13.5萬
-135.87%-86.8萬
641.17%416.7萬
221.87%187.8萬
-180.48%-358.8萬
-172.21%-369.7萬
277.03%242萬
-505.26%-77萬
期末現金流
14.40%60.21億
13.41%64.17億
13.41%64.17億
16.56%57.1億
-0.54%56.57億
-18.03%52.63億
-19.38%56.58億
-19.38%56.58億
-17.63%48.98億
-6.27%56.88億
自由現金流
-29.95%2,306.4萬
25.08%1.46億
-21.13%2,335.4萬
-2.36%3,530.2萬
101.21%5,418.1萬
38.11%3,292.3萬
4.33%1.17億
-26.03%2,960.9萬
33.45%3,615.7萬
-46.17%2,692.8萬
貨幣單位
美元
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會計準則
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US-GAAP
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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 -3.51%5,183.1萬31.97%2.33億19.67%5,491.2萬8.08%5,417.6萬70.72%7,068.5萬35.96%5,371.6萬11.16%1.77億-20.66%4,588.6萬21.05%5,012.5萬-26.09%4,140.4萬
持續經營淨收入 -4.90%1,956.8萬-39.59%7,319.2萬4.52%1,901.2萬-66.03%1,412.3萬-39.92%1,948萬-28.98%2,057.7萬29.82%1.21億-32.68%1,819萬224.16%4,157.4萬-28.81%3,242.5萬
持續經營損益 134.83%59萬-132.46%-503.1萬-101.82%-6.6萬-92.90%87.5萬-1,656.78%-414.6萬-670.00%-169.4萬171.37%1,550.1萬121.43%363.1萬34.48%1,232.6萬98.29%-23.6萬
折舊和攤銷 31.45%1,891.6萬40.22%6,372.6萬49.31%1,764.3萬19.47%1,614萬45.19%1,555.3萬52.95%1,439萬65.32%4,544.6萬40.23%1,181.6萬89.85%1,351萬81.28%1,071.2萬
遞延稅費 51.38%-110.8萬23.04%-1,740.5萬-1.82%-564.4萬71.68%-380.4萬-153.14%-567.8萬-63.14%-227.9萬-103.34%-2,261.6萬-714.52%-554.3萬-513.10%-1,343.3萬80.73%-224.3萬
其他非現金項目 43.50%-531.7萬39.11%-1,219萬25.80%-1,010.4萬93.92%-19萬368.26%751.4萬-1,885.23%-941萬-6,278.70%-2,001.9萬---1,361.8萬---312.6萬---280.1萬
營運資金變化 -95.08%65.8萬292.53%5,619.4萬43.26%1,568.1萬150.85%923.3萬276.94%1,790.3萬212.81%1,337.7萬-639.00%-2,918.7萬-48.11%1,094.6萬-2,071.89%-1,815.7萬-173.31%-1,011.8萬
-應收款項(增)減 -185.60%-218.7萬355.19%153.4萬147.42%393.9萬83.25%-44.7萬-786.91%-451.3萬237.96%255.5萬-93.12%33.7萬100.81%159.2萬-101.33%-266.8萬253.15%65.7萬
-預付費用(增)減 23.69%-6,416萬4.93%-3.13億-12.71%-7,785.7萬35.72%-6,818.4萬-12.08%-8,314.5萬-4.87%-8,407.8萬-10.15%-3.3億---6,907.7萬---1.06億-9.55%-7,418.4萬
-應付款項及應計費用(減)增 -9.57%-2,190.4萬38.81%707.1萬-0.50%279.5萬-39.71%925.1萬852.68%1,501.6萬-80.70%-1,999.1萬-3.76%509.4萬-98.72%280.9萬107.81%1,534.3萬-195.55%-199.5萬
-其他流動資產變化 -51.13%981.5萬149.25%1,589.2萬182.17%445.1萬107.56%144.2萬1.49%-1,008.3萬720.34%2,008.2萬-1,727.95%-3,226.6萬-219.92%-541.7萬-132.07%-1,906.2萬-196.23%-1,023.5萬
-其他流動負債變化 945.45%660.3萬184.05%1,806萬-50.38%497.4萬296.79%951.5萬389.94%435.2萬-129.26%-78.1萬2,640.52%635.8萬503.55%1,002.5萬-1,231.96%-483.5萬-248.26%-150.1萬
-其他營運資本變化 -24.16%7,249.1萬1.90%3.27億8.96%7,737.9萬-41.85%5,765.6萬24.81%9,627.6萬30.05%9,559萬9.81%3.21億-75.59%7,101.4萬173.42%9,914.3萬10.75%7,714萬
非持續經營活動現金淨額
經營活動現金淨額 -3.51%5,183.1萬31.97%2.33億19.67%5,491.2萬8.08%5,417.6萬70.72%7,068.5萬35.96%5,371.6萬10.93%1.77億-21.11%4,588.6萬21.05%5,012.5萬-26.09%4,140.4萬
投資活動現金流量
持續投資活動現金淨額 -26.89%-6,089萬88.87%-2.18億66.73%-4,896.6萬95.77%-3,586.8萬89.95%-8,552.5萬57.96%-4,798.6萬-4,331.84%-19.61億-4,304.60%-1.47億-5,506.76%-8.49億-13,098.19%-8.51億
資本性支出 -15.88%-1,861.9萬-16.57%-6,085.5萬-35.35%-1,696.9萬-12.76%-1,389.3萬-4.79%-1,392.6萬-14.32%-1,606.7萬-32.72%-5,220.3萬10.52%-1,253.7萬0.65%-1,232.1萬-149.20%-1,329萬
固定資產交易的淨現金流 -114.73%-1,014.8萬-228.17%-2,687.4萬-290.08%-1,458.9萬-202.43%-498.1萬-117.37%-257.8萬-192.45%-472.6萬3.19%-818.9萬9.29%-374萬13.95%-164.7萬-80.24%-118.6萬
業務交易的淨現金流 ---647.9萬31.39%-3,308.1萬--0--0---3,308.1萬--0-909.98%-4,821.8萬--1,000---4,821.9萬--0
投資產品交易的淨現金流 55.62%-331.4萬96.74%-5,875.3萬77.90%-3,542.9萬99.17%-585萬98.80%-1,000.6萬92.43%-746.8萬---18.02億---1.6億---7.08億---8.36億
其他投資活動的淨現金流 -13.21%-2,233萬23.48%-3,878.2萬-38.71%1,802.1萬85.92%-1,114.4萬-2,176.91%-2,593.4萬-11,501.73%-1,972.5萬-1,998.76%-5,068.5萬35.90%2,940.1萬-363.61%-7,912萬-148.69%-113.9萬
非持續投資活動現金淨額
投資活動現金淨額 -26.89%-6,089萬88.87%-2.18億66.73%-4,896.6萬95.77%-3,586.8萬89.95%-8,552.5萬57.96%-4,798.6萬-4,331.84%-19.61億-4,304.60%-1.47億-5,506.76%-8.49億-13,098.19%-8.51億
融資活動現金流量
持續融資活動現金淨額 4.17%-3.86億72.53%7.38億-18.93%7.01億431.55%3,477.9萬421.25%4.05億22.77%-4.02億-16.44%4.28億-13.93%8.65億103.69%654.3萬58.30%7,763.8萬
債務發行/償還的淨現金流 ------0--0--0--0--0-909.99%-1,841.1萬-606.48%-1,321.9萬-1,189.51%-176.5萬137.45%55.5萬
普通股發行/償還的淨現金流 -322.41%-7,499.1萬-26.24%-1.74億-360.67%-7,857.2萬-107.65%-4,527.3萬37.40%-3,200.3萬62.65%-1,775.3萬-148.06%-1.38億45.31%-1,705.6萬-206.05%-2,180.3萬-122.38%-5,112.5萬
職工行使股票期權收到的現金 42.20%-254.3萬-148.09%-61.8萬279.92%395.1萬72.08%-238.6萬--221.7萬---440萬-90.27%128.5萬---219.6萬---854.6萬----
其他融資活動的淨現金流額 18.98%-3.08億56.63%9.12億-13.55%7.76億113.26%8,243.8萬273.96%4.34億19.02%-3.8億5.53%5.82億-12.05%8.97億124.43%3,865.7萬89.14%1.16億
非持續融資活動現金淨額
融資活動現金淨額 4.17%-3.86億72.53%7.38億-18.93%7.01億431.55%3,477.9萬421.25%4.05億22.77%-4.02億-16.44%4.28億-13.93%8.65億103.69%654.3萬58.30%7,763.8萬
現金淨流量
期初現金流 13.41%64.17億-19.38%56.58億16.56%57.1億-0.54%56.57億-18.03%52.63億-19.38%56.58億9.89%70.18億-17.63%48.98億-6.27%56.88億7.56%64.21億
當期現金流變化 0.50%-3.95億155.52%7.53億-7.40%7.07億106.70%5,308.7萬153.25%3.9億33.41%-3.97億-316.29%-13.57億-28.41%7.63億-559.13%-7.92億-842.40%-7.32億
利率變動影響 -143.02%-80.8萬248.05%531.2萬103.65%13.5萬-135.87%-86.8萬641.17%416.7萬221.87%187.8萬-180.48%-358.8萬-172.21%-369.7萬277.03%242萬-505.26%-77萬
期末現金流 14.40%60.21億13.41%64.17億13.41%64.17億16.56%57.1億-0.54%56.57億-18.03%52.63億-19.38%56.58億-19.38%56.58億-17.63%48.98億-6.27%56.88億
自由現金流 -29.95%2,306.4萬25.08%1.46億-21.13%2,335.4萬-2.36%3,530.2萬101.21%5,418.1萬38.11%3,292.3萬4.33%1.17億-26.03%2,960.9萬33.45%3,615.7萬-46.17%2,692.8萬
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