美股市場個股詳情

Pure Cycle (PCYO)

添加自選
  • 10.910
  • -0.230-2.06%
收盤價 05/14 16:00 (美東)
  • 10.910
  • 0.0000.00%
盤後 16:10 (美東)
2.63億總市值19.14市盈率TTM

Pure Cycle (PCYO) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2026/02/28
(Q1)2025/11/30
(FY)2025/08/31
(Q4)2025/08/31
(Q3)2025/05/31
(Q2)2025/02/28
(Q1)2024/11/30
(FY)2024/08/31
(Q4)2024/08/31
(Q3)2024/05/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-206.71%-420.8萬
-117.25%-97.9萬
469.38%1,316.4萬
201.61%936.5萬
-156.39%-50.3萬
-200.22%-137.2萬
562.05%567.4萬
198.85%231.2萬
392.08%310.5萬
-81.74%89.2萬
持續經營淨收入
36.59%110.5萬
15.95%456.5萬
12.89%1,311萬
-7.52%610.8萬
-20.14%225.6萬
585.59%80.9萬
90.65%393.7萬
147.14%1,161.3萬
525.47%660.5萬
-14.26%282.5萬
折舊和攤銷
-9.89%55.6萬
7.60%56.6萬
9.38%229.7萬
19.00%62萬
-8.72%53.4萬
21.46%61.7萬
8.23%52.6萬
-2.60%210萬
-7.30%52.1萬
12.93%58.5萬
遞延稅費
----
----
239.53%14.6萬
-11.52%14.6萬
----
----
----
-84.48%4.3萬
-65.55%16.5萬
----
其他非現金項目
----
----
72.04%-419.4萬
186.39%715.4萬
-241.81%-1,535.4萬
-78.95%-119萬
-111.01%-329.6萬
-164.13%-1,500萬
-103.31%-828.1萬
-485.66%-449.2萬
營運資金變化
142.14%295.5萬
-644.85%-629.3萬
-52.50%148.2萬
-216.17%-469.2萬
489.51%1,203.2萬
-959.37%-701.3萬
150.26%115.5萬
176.56%312萬
53.75%403.9萬
-0.44%204.1萬
-應收款項(增)減
221.92%557.3萬
-352.46%-668萬
137.37%14.2萬
-312.72%-831.1萬
687.99%1,037.8萬
-264.84%-457.1萬
149.97%264.6萬
88.31%-38萬
315.64%390.7萬
-92.90%-176.5萬
-預付費用(增)減
36.47%-22.3萬
742.86%59萬
-157.61%-47.4萬
-546.00%-22.3萬
-47.37%3萬
9.54%-35.1萬
-27.84%7萬
-252.07%-18.4萬
8.70%5萬
-72.99%5.7萬
-應付款項及應計費用(減)增
-156.53%-21.2萬
39.68%-71萬
-4.01%93.4萬
289.74%72.1萬
-58.62%101.5萬
133.72%37.5萬
-9,908.33%-117.7萬
-22.90%97.3萬
-118.54%-38萬
792.00%245.3萬
-其他營運資本變化
11.48%-218.3萬
232.03%50.7萬
-67.54%88萬
575.54%312.1萬
-53.01%60.9萬
-27.44%-246.6萬
-113.30%-38.4萬
222.84%271.1萬
212.96%46.2萬
-47.72%129.6萬
非持續經營活動現金淨額
經營活動現金淨額
-206.71%-420.8萬
-117.25%-97.9萬
469.38%1,316.4萬
201.61%936.5萬
-156.39%-50.3萬
-200.22%-137.2萬
562.05%567.4萬
198.85%231.2萬
392.08%310.5萬
-81.74%89.2萬
投資活動現金流量
持續投資活動現金淨額
-1,115.82%-791.5萬
27.75%-473.4萬
-99.88%-965.2萬
-55.37%-130.2萬
-43.55%-114.7萬
18.93%-65.1萬
-174.26%-655.2萬
47.74%-482.9萬
75.64%-83.8萬
-105.75%-79.9萬
固定資產交易的淨現金流
-7,313.95%-310.2萬
71.73%-172.7萬
-290.18%-929.4萬
-185.68%-213.4萬
-265.00%-109.5萬
108.37%4.3萬
-643.97%-610.8萬
69.50%-238.2萬
87.88%-74.7萬
-109.85%-30萬
業務交易的淨現金流
-14,044.00%-353.6萬
-13,373.68%-256萬
----
----
----
---2.5萬
89.20%-1.9萬
----
----
----
投資產品交易的淨現金流
-90.88%-127.7萬
-5.18%-44.7萬
60.48%-85.2萬
3,833.33%35.4萬
70.83%-11.2萬
-71.98%-66.9萬
69.47%-42.5萬
-50.77%-215.6萬
101.20%9,000
-102.68%-38.4萬
其他投資活動的淨現金流
----
----
269.76%49.4萬
207.16%41.9萬
--0
----
----
---29.1萬
---39.1萬
--0
非持續投資活動現金淨額
投資活動現金淨額
-1,115.82%-791.5萬
27.75%-473.4萬
-99.88%-965.2萬
-55.37%-130.2萬
-43.55%-114.7萬
18.93%-65.1萬
-174.26%-655.2萬
47.74%-482.9萬
75.64%-83.8萬
-105.75%-79.9萬
融資活動現金流量
持續融資活動現金淨額
27.32%-14.9萬
1,164.60%120.3萬
19.77%-49.1萬
6.00%-14.1萬
78.52%-3.2萬
-91.59%-20.5萬
45.15%-11.3萬
-121.51%-61.2萬
-105.06%-15萬
-4,866.67%-14.9萬
債務發行/償還的淨現金流
-133.33%-2.8萬
24,160.00%120.3萬
-203.23%-9.4萬
-737.50%-6.7萬
-25.00%-1萬
-71.43%-1.2萬
37.50%-5,000
-101.05%-3.1萬
-100.27%-8,000
-166.67%-8,000
普通股發行/償還的淨現金流
37.31%-12.1萬
--0
31.67%-39.7萬
47.89%-7.4萬
84.40%-2.2萬
-93.00%-19.3萬
45.45%-10.8萬
---58.1萬
---14.2萬
---14.1萬
非持續融資活動現金淨額
融資活動現金淨額
27.32%-14.9萬
1,164.60%120.3萬
19.77%-49.1萬
6.00%-14.1萬
78.52%-3.2萬
-91.59%-20.5萬
45.15%-11.3萬
-121.51%-61.2萬
-105.06%-15萬
-4,866.67%-14.9萬
現金淨流量
期初現金流
-2.04%2,386.9萬
11.91%2,837.9萬
-10.98%2,535.8萬
-11.98%2,045.7萬
-4.97%2,213.9萬
-1.20%2,436.7萬
-10.98%2,535.8萬
-23.47%2,848.7萬
-17.97%2,324.1萬
143.82%2,329.7萬
當期現金流變化
-450.81%-1,227.2萬
-355.10%-451萬
196.55%302.1萬
274.21%792.2萬
-2,903.57%-168.2萬
-62.98%-222.8萬
74.08%-99.1萬
64.18%-312.9萬
1,265.81%211.7萬
-100.30%-5.6萬
期末現金流
-47.62%1,159.7萬
-2.04%2,386.9萬
11.91%2,837.9萬
11.91%2,837.9萬
-11.98%2,045.7萬
-4.97%2,213.9萬
-1.20%2,436.7萬
-10.98%2,535.8萬
-10.98%2,535.8萬
-17.97%2,324.1萬
自由現金流
-455.46%-738.2萬
-523.50%-270.6萬
5,372.86%369.1萬
199.07%705.2萬
-369.93%-159.8萬
-36.87%-132.9萬
78.82%-43.4萬
99.31%-7萬
142.63%235.8萬
-92.54%59.2萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
--
無保留意見
--
--
--
--
無保留意見
--
--
(Q2)2026/02/28(Q1)2025/11/30(FY)2025/08/31(Q4)2025/08/31(Q3)2025/05/31(Q2)2025/02/28(Q1)2024/11/30(FY)2024/08/31(Q4)2024/08/31(Q3)2024/05/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -206.71%-420.8萬-117.25%-97.9萬469.38%1,316.4萬201.61%936.5萬-156.39%-50.3萬-200.22%-137.2萬562.05%567.4萬198.85%231.2萬392.08%310.5萬-81.74%89.2萬
持續經營淨收入 36.59%110.5萬15.95%456.5萬12.89%1,311萬-7.52%610.8萬-20.14%225.6萬585.59%80.9萬90.65%393.7萬147.14%1,161.3萬525.47%660.5萬-14.26%282.5萬
折舊和攤銷 -9.89%55.6萬7.60%56.6萬9.38%229.7萬19.00%62萬-8.72%53.4萬21.46%61.7萬8.23%52.6萬-2.60%210萬-7.30%52.1萬12.93%58.5萬
遞延稅費 --------239.53%14.6萬-11.52%14.6萬-------------84.48%4.3萬-65.55%16.5萬----
其他非現金項目 --------72.04%-419.4萬186.39%715.4萬-241.81%-1,535.4萬-78.95%-119萬-111.01%-329.6萬-164.13%-1,500萬-103.31%-828.1萬-485.66%-449.2萬
營運資金變化 142.14%295.5萬-644.85%-629.3萬-52.50%148.2萬-216.17%-469.2萬489.51%1,203.2萬-959.37%-701.3萬150.26%115.5萬176.56%312萬53.75%403.9萬-0.44%204.1萬
-應收款項(增)減 221.92%557.3萬-352.46%-668萬137.37%14.2萬-312.72%-831.1萬687.99%1,037.8萬-264.84%-457.1萬149.97%264.6萬88.31%-38萬315.64%390.7萬-92.90%-176.5萬
-預付費用(增)減 36.47%-22.3萬742.86%59萬-157.61%-47.4萬-546.00%-22.3萬-47.37%3萬9.54%-35.1萬-27.84%7萬-252.07%-18.4萬8.70%5萬-72.99%5.7萬
-應付款項及應計費用(減)增 -156.53%-21.2萬39.68%-71萬-4.01%93.4萬289.74%72.1萬-58.62%101.5萬133.72%37.5萬-9,908.33%-117.7萬-22.90%97.3萬-118.54%-38萬792.00%245.3萬
-其他營運資本變化 11.48%-218.3萬232.03%50.7萬-67.54%88萬575.54%312.1萬-53.01%60.9萬-27.44%-246.6萬-113.30%-38.4萬222.84%271.1萬212.96%46.2萬-47.72%129.6萬
非持續經營活動現金淨額
經營活動現金淨額 -206.71%-420.8萬-117.25%-97.9萬469.38%1,316.4萬201.61%936.5萬-156.39%-50.3萬-200.22%-137.2萬562.05%567.4萬198.85%231.2萬392.08%310.5萬-81.74%89.2萬
投資活動現金流量
持續投資活動現金淨額 -1,115.82%-791.5萬27.75%-473.4萬-99.88%-965.2萬-55.37%-130.2萬-43.55%-114.7萬18.93%-65.1萬-174.26%-655.2萬47.74%-482.9萬75.64%-83.8萬-105.75%-79.9萬
固定資產交易的淨現金流 -7,313.95%-310.2萬71.73%-172.7萬-290.18%-929.4萬-185.68%-213.4萬-265.00%-109.5萬108.37%4.3萬-643.97%-610.8萬69.50%-238.2萬87.88%-74.7萬-109.85%-30萬
業務交易的淨現金流 -14,044.00%-353.6萬-13,373.68%-256萬---------------2.5萬89.20%-1.9萬------------
投資產品交易的淨現金流 -90.88%-127.7萬-5.18%-44.7萬60.48%-85.2萬3,833.33%35.4萬70.83%-11.2萬-71.98%-66.9萬69.47%-42.5萬-50.77%-215.6萬101.20%9,000-102.68%-38.4萬
其他投資活動的淨現金流 --------269.76%49.4萬207.16%41.9萬--0-----------29.1萬---39.1萬--0
非持續投資活動現金淨額
投資活動現金淨額 -1,115.82%-791.5萬27.75%-473.4萬-99.88%-965.2萬-55.37%-130.2萬-43.55%-114.7萬18.93%-65.1萬-174.26%-655.2萬47.74%-482.9萬75.64%-83.8萬-105.75%-79.9萬
融資活動現金流量
持續融資活動現金淨額 27.32%-14.9萬1,164.60%120.3萬19.77%-49.1萬6.00%-14.1萬78.52%-3.2萬-91.59%-20.5萬45.15%-11.3萬-121.51%-61.2萬-105.06%-15萬-4,866.67%-14.9萬
債務發行/償還的淨現金流 -133.33%-2.8萬24,160.00%120.3萬-203.23%-9.4萬-737.50%-6.7萬-25.00%-1萬-71.43%-1.2萬37.50%-5,000-101.05%-3.1萬-100.27%-8,000-166.67%-8,000
普通股發行/償還的淨現金流 37.31%-12.1萬--031.67%-39.7萬47.89%-7.4萬84.40%-2.2萬-93.00%-19.3萬45.45%-10.8萬---58.1萬---14.2萬---14.1萬
非持續融資活動現金淨額
融資活動現金淨額 27.32%-14.9萬1,164.60%120.3萬19.77%-49.1萬6.00%-14.1萬78.52%-3.2萬-91.59%-20.5萬45.15%-11.3萬-121.51%-61.2萬-105.06%-15萬-4,866.67%-14.9萬
現金淨流量
期初現金流 -2.04%2,386.9萬11.91%2,837.9萬-10.98%2,535.8萬-11.98%2,045.7萬-4.97%2,213.9萬-1.20%2,436.7萬-10.98%2,535.8萬-23.47%2,848.7萬-17.97%2,324.1萬143.82%2,329.7萬
當期現金流變化 -450.81%-1,227.2萬-355.10%-451萬196.55%302.1萬274.21%792.2萬-2,903.57%-168.2萬-62.98%-222.8萬74.08%-99.1萬64.18%-312.9萬1,265.81%211.7萬-100.30%-5.6萬
期末現金流 -47.62%1,159.7萬-2.04%2,386.9萬11.91%2,837.9萬11.91%2,837.9萬-11.98%2,045.7萬-4.97%2,213.9萬-1.20%2,436.7萬-10.98%2,535.8萬-10.98%2,535.8萬-17.97%2,324.1萬
自由現金流 -455.46%-738.2萬-523.50%-270.6萬5,372.86%369.1萬199.07%705.2萬-369.93%-159.8萬-36.87%-132.9萬78.82%-43.4萬99.31%-7萬142.63%235.8萬-92.54%59.2萬
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