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浦項鋼鐵 (PKX)

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  • 73.935
  • -4.695-5.97%
交易中 05/19 09:55 (美東)
223.64億總市值48.26市盈率TTM

浦項鋼鐵 (PKX) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-31.39%4.57萬億
-14.86%1.92萬億
-83.28%2,237.57億
-36.79%1.76萬億
134.54%6,687.79億
8.04%6.66萬億
19.16%2.25萬億
-37.88%1.34萬億
16.46%2.79萬億
205.26%2,851.42億
持續經營淨收入
-47.57%5,270.23億
55.39%-2,879.71億
-22.12%3,869.13億
-84.65%838.46億
-43.37%3,442.35億
-45.54%1.01萬億
-101.29%-6,455.78億
-9.75%4,968.19億
-29.61%5,462.2億
-27.67%6,078.15億
持續經營損益
-113.84%-887.66億
-106.51%-384.58億
156.27%181.41億
-111.90%-23.99億
-386.90%-660.5億
2,861.94%6,413.23億
440.72%5,910.62億
120.69%70.79億
-21.10%201.6億
118.59%230.22億
折舊和攤銷
4.39%4.16萬億
8.90%1.09萬億
-2.75%1.03萬億
10.38%1.02萬億
1.89%1.02萬億
3.64%3.98萬億
3.05%1萬億
7.51%1.06萬億
-1.53%9,211.17億
5.31%1萬億
遞延稅費
90.72%6,121.35億
200.05%1,716.47億
-32.69%1,309.29億
-17.00%1,438.36億
32.90%1,657.23億
-59.34%3,209.54億
-282.76%-1,715.57億
-30.68%1,945.1億
-31.75%1,733.05億
-22.53%1,246.96億
其他非現金項目
103.12%211.29億
54.15%-1,783.63億
653.87%2,345.36億
230.42%1,597.18億
-56.77%-1,947.62億
-309.83%-6,780.71億
-2,846.42%-3,890.3億
-111.48%-423.45億
-251.14%-1,224.62億
11.88%-1,242.34億
營運資金變化
-165.81%-3,935.87億
-12.83%9,142.87億
-256.14%-1.39萬億
-67.86%3,693.16億
75.96%-2,910.16億
172.58%5,980.3億
60.83%1.05萬億
-267.65%-3,892.22億
507.61%1.15萬億
15.13%-1.21萬億
-應收款項(增)減
-184.67%-9,832.1億
----
----
-191.72%-1.01萬億
-8.00%2,284.18億
222.24%1.16萬億
287.70%1.32萬億
-112.67%-596.45億
27.43%-3,476.58億
119.37%2,482.92億
-存貨(增)減
-46.72%4,873.45億
----
----
-8.02%6,752.52億
488.17%8,658.93億
-30.32%9,147.44億
444.58%6,026.05億
-119.76%-1,988.96億
6,042.25%7,341.06億
-145.19%-2,230.71億
-應付款項及應計費用(減)增
-130.23%-7,352.21億
----
----
-45.21%3,213.07億
-5.45%-1.16萬億
24.03%-3,193.41億
-94.36%427.13億
115.45%1,546.89億
81.93%5,864.46億
-121.41%-1.1萬億
-其他流動資產變化
7,181.74%4,815.58億
----
----
600.70%1,208.22億
-598.98%-651.97億
-225.23%-68億
-1,248.06%-2,541.91億
463.43%2,170.82億
-61.87%172.43億
694.18%130.66億
-其他流動負債變化
145.30%4,251.59億
----
----
535.31%2,518.17億
-52.55%-802.72億
-107.18%-9,385.39億
-370.54%-9,446.58億
134.79%191.03億
123.82%396.37億
-70.31%-526.21億
-其他營運資本變化
67.54%-692.18億
----
----
-87.99%143.23億
17.77%-765.78億
33.15%-2,132.35億
70.62%-269.81億
-64.63%-2,123.79億
1,317.50%1,192.54億
12.57%-931.29億
非持續經營活動現金淨額
經營活動現金淨額
-31.39%4.57萬億
-14.86%1.92萬億
-83.28%2,237.57億
-36.79%1.76萬億
134.54%6,687.79億
8.04%6.66萬億
19.16%2.25萬億
-37.88%1.34萬億
16.46%2.79萬億
205.26%2,851.42億
投資活動現金流量
持續投資活動現金淨額
-49.04%-6.69萬億
-24.24%-2.18萬億
-90.44%531.4億
-44.42%-2.6萬億
-31.78%-1.97萬億
39.27%-4.49萬億
-113.17%-1.75萬億
152.90%5,557.14億
17.11%-1.8萬億
55.40%-1.49萬億
固定資產交易的淨現金流
28.52%-5.45萬億
15.65%-1.67萬億
42.80%-1.07萬億
30.36%-1.35萬億
25.91%-1.37萬億
-13.05%-7.63萬億
9.59%-1.98萬億
-17.46%-1.86萬億
-19.92%-1.94萬億
-36.21%-1.84萬億
無形資產交易淨現金流
-18.09%-5,681.19億
15.22%-1,851.46億
16.63%-931.49億
-84.49%-1,424.26億
-99.82%-1,473.98億
-6.54%-4,810.74億
-4.19%-2,183.85億
-39.71%-1,117.24億
3.53%-772億
9.99%-737.65億
業務交易的淨現金流
-254.50%-9,097.67億
-404.54%-7,395.57億
-201.25%-285.12億
-24.07%-1,308.89億
66.96%-108.09億
39.69%-2,566.31億
-250.13%-1,465.81億
109.63%281.59億
-558.42%-1,054.98億
84.77%-327.11億
投資產品交易的淨現金流
-107.00%-2,611.27億
-69.05%1,310.31億
-56.79%1.11萬億
-436.37%-8,379.35億
-233.55%-6,608.13億
3,613.32%3.73萬億
-71.65%4,234.12億
213.36%2.56萬億
154.16%2,491.09億
128.26%4,947.95億
其他投資活動的淨現金流
233.31%5,049.71億
70.39%2,866.26億
329.54%1,355.83億
-271.53%-1,347.57億
700.70%2,175.19億
-19.81%1,515.01億
1,017.50%1,682.15億
-164.36%-590.67億
29.94%785.64億
-165.80%-362.11億
非持續投資活動現金淨額
投資活動現金淨額
-49.04%-6.69萬億
-24.24%-2.18萬億
-90.44%531.4億
-44.42%-2.6萬億
-31.78%-1.97萬億
39.27%-4.49萬億
-113.17%-1.75萬億
152.90%5,557.14億
17.11%-1.8萬億
55.40%-1.49萬億
融資活動現金流量
持續融資活動現金淨額
204.39%2.4萬億
104.49%734.42億
92.20%-1,669.77億
835.98%1.19萬億
-3.13%1.3萬億
-1,188.81%-2.3萬億
-11.07%-1.63萬億
-522.25%-2.14萬億
114.66%1,274.43億
-46.31%1.35萬億
債務發行/償還的淨現金流
209.95%2.25萬億
104.61%785.06億
75.27%-5,074.48億
243.49%1.62萬億
-14.15%1.06萬億
-435.93%-2.05萬億
-26.46%-1.7萬億
-1,486.19%-2.05萬億
228.91%4,702.94億
-49.44%1.24萬億
普通股發行/償還的淨現金流
--0
--0
----
----
----
---923.11億
--0
----
----
----
現金股利支付
-8.41%-9,152.16億
-0.29%-1,896.11億
-27.18%-2,448.37億
-3.38%-4,774.9億
-346.59%-32.78億
-3.52%-8,441.95億
0.90%-1,890.63億
2.66%-1,925.08億
-8.29%-4,618.9億
-91.15%-7.34億
其他融資活動的淨現金流額
56.76%1.07萬億
-28.41%1,845.47億
197.23%5,853.08億
-53.88%549.07億
126.18%2,431.78億
2,362.92%6,812.69億
360.69%2,577.96億
1,419.04%1,969.2億
261.24%1,190.4億
77.83%1,075.13億
非持續融資活動現金淨額
融資活動現金淨額
204.39%2.4萬億
104.49%734.42億
92.20%-1,669.77億
835.97%1.19萬億
-3.13%1.3萬億
-1,188.81%-2.3萬億
-11.07%-1.63萬億
-522.25%-2.14萬億
114.66%1,274.44億
-46.31%1.35萬億
現金淨流量
期初現金流
1.45%6.77萬億
-7.25%7.17萬億
-12.85%7萬億
-1.47%6.77萬億
1.45%6.77萬億
-17.17%6.67萬億
8.14%7.73萬億
26.52%8.03萬億
-1.93%6.87萬億
-17.17%6.67萬億
當期現金流變化
330.24%2,874.8億
83.59%-1,863.46億
144.66%1,099.2億
-68.01%3,577.15億
-95.54%61.91億
91.08%-1,248.61億
-180.33%-1.14萬億
-132.39%-2,461.16億
273.51%1.12萬億
112.52%1,388.33億
利率變動影響
-102.51%-55.78億
-65.66%600.14億
195.88%569.23億
-401.40%-1,284.35億
-90.73%59.2億
1,227.11%2,218.8億
346.26%1,747.48億
-260.34%-593.72億
391.53%426.13億
-2.11%638.91億
期末現金流
4.17%7.05萬億
4.17%7.05萬億
-7.25%7.17萬億
-12.85%7萬億
-1.47%6.77萬億
1.45%6.77萬億
1.45%6.77萬億
8.14%7.73萬億
26.52%8.03萬億
-1.93%6.87萬億
自由現金流
-11.37%-1.67萬億
272.39%1,267.03億
-64.78%-1.06萬億
-84.82%1,130.62億
47.96%-8,513.58億
-41.48%-1.5萬億
106.68%340.24億
-232.40%-6,418.67億
8.24%7,448.81億
5.08%-1.64萬億
貨幣單位
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
韓元
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
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--
--
--
無保留意見
--
--
--
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(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(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -31.39%4.57萬億-14.86%1.92萬億-83.28%2,237.57億-36.79%1.76萬億134.54%6,687.79億8.04%6.66萬億19.16%2.25萬億-37.88%1.34萬億16.46%2.79萬億205.26%2,851.42億
持續經營淨收入 -47.57%5,270.23億55.39%-2,879.71億-22.12%3,869.13億-84.65%838.46億-43.37%3,442.35億-45.54%1.01萬億-101.29%-6,455.78億-9.75%4,968.19億-29.61%5,462.2億-27.67%6,078.15億
持續經營損益 -113.84%-887.66億-106.51%-384.58億156.27%181.41億-111.90%-23.99億-386.90%-660.5億2,861.94%6,413.23億440.72%5,910.62億120.69%70.79億-21.10%201.6億118.59%230.22億
折舊和攤銷 4.39%4.16萬億8.90%1.09萬億-2.75%1.03萬億10.38%1.02萬億1.89%1.02萬億3.64%3.98萬億3.05%1萬億7.51%1.06萬億-1.53%9,211.17億5.31%1萬億
遞延稅費 90.72%6,121.35億200.05%1,716.47億-32.69%1,309.29億-17.00%1,438.36億32.90%1,657.23億-59.34%3,209.54億-282.76%-1,715.57億-30.68%1,945.1億-31.75%1,733.05億-22.53%1,246.96億
其他非現金項目 103.12%211.29億54.15%-1,783.63億653.87%2,345.36億230.42%1,597.18億-56.77%-1,947.62億-309.83%-6,780.71億-2,846.42%-3,890.3億-111.48%-423.45億-251.14%-1,224.62億11.88%-1,242.34億
營運資金變化 -165.81%-3,935.87億-12.83%9,142.87億-256.14%-1.39萬億-67.86%3,693.16億75.96%-2,910.16億172.58%5,980.3億60.83%1.05萬億-267.65%-3,892.22億507.61%1.15萬億15.13%-1.21萬億
-應收款項(增)減 -184.67%-9,832.1億---------191.72%-1.01萬億-8.00%2,284.18億222.24%1.16萬億287.70%1.32萬億-112.67%-596.45億27.43%-3,476.58億119.37%2,482.92億
-存貨(增)減 -46.72%4,873.45億---------8.02%6,752.52億488.17%8,658.93億-30.32%9,147.44億444.58%6,026.05億-119.76%-1,988.96億6,042.25%7,341.06億-145.19%-2,230.71億
-應付款項及應計費用(減)增 -130.23%-7,352.21億---------45.21%3,213.07億-5.45%-1.16萬億24.03%-3,193.41億-94.36%427.13億115.45%1,546.89億81.93%5,864.46億-121.41%-1.1萬億
-其他流動資產變化 7,181.74%4,815.58億--------600.70%1,208.22億-598.98%-651.97億-225.23%-68億-1,248.06%-2,541.91億463.43%2,170.82億-61.87%172.43億694.18%130.66億
-其他流動負債變化 145.30%4,251.59億--------535.31%2,518.17億-52.55%-802.72億-107.18%-9,385.39億-370.54%-9,446.58億134.79%191.03億123.82%396.37億-70.31%-526.21億
-其他營運資本變化 67.54%-692.18億---------87.99%143.23億17.77%-765.78億33.15%-2,132.35億70.62%-269.81億-64.63%-2,123.79億1,317.50%1,192.54億12.57%-931.29億
非持續經營活動現金淨額
經營活動現金淨額 -31.39%4.57萬億-14.86%1.92萬億-83.28%2,237.57億-36.79%1.76萬億134.54%6,687.79億8.04%6.66萬億19.16%2.25萬億-37.88%1.34萬億16.46%2.79萬億205.26%2,851.42億
投資活動現金流量
持續投資活動現金淨額 -49.04%-6.69萬億-24.24%-2.18萬億-90.44%531.4億-44.42%-2.6萬億-31.78%-1.97萬億39.27%-4.49萬億-113.17%-1.75萬億152.90%5,557.14億17.11%-1.8萬億55.40%-1.49萬億
固定資產交易的淨現金流 28.52%-5.45萬億15.65%-1.67萬億42.80%-1.07萬億30.36%-1.35萬億25.91%-1.37萬億-13.05%-7.63萬億9.59%-1.98萬億-17.46%-1.86萬億-19.92%-1.94萬億-36.21%-1.84萬億
無形資產交易淨現金流 -18.09%-5,681.19億15.22%-1,851.46億16.63%-931.49億-84.49%-1,424.26億-99.82%-1,473.98億-6.54%-4,810.74億-4.19%-2,183.85億-39.71%-1,117.24億3.53%-772億9.99%-737.65億
業務交易的淨現金流 -254.50%-9,097.67億-404.54%-7,395.57億-201.25%-285.12億-24.07%-1,308.89億66.96%-108.09億39.69%-2,566.31億-250.13%-1,465.81億109.63%281.59億-558.42%-1,054.98億84.77%-327.11億
投資產品交易的淨現金流 -107.00%-2,611.27億-69.05%1,310.31億-56.79%1.11萬億-436.37%-8,379.35億-233.55%-6,608.13億3,613.32%3.73萬億-71.65%4,234.12億213.36%2.56萬億154.16%2,491.09億128.26%4,947.95億
其他投資活動的淨現金流 233.31%5,049.71億70.39%2,866.26億329.54%1,355.83億-271.53%-1,347.57億700.70%2,175.19億-19.81%1,515.01億1,017.50%1,682.15億-164.36%-590.67億29.94%785.64億-165.80%-362.11億
非持續投資活動現金淨額
投資活動現金淨額 -49.04%-6.69萬億-24.24%-2.18萬億-90.44%531.4億-44.42%-2.6萬億-31.78%-1.97萬億39.27%-4.49萬億-113.17%-1.75萬億152.90%5,557.14億17.11%-1.8萬億55.40%-1.49萬億
融資活動現金流量
持續融資活動現金淨額 204.39%2.4萬億104.49%734.42億92.20%-1,669.77億835.98%1.19萬億-3.13%1.3萬億-1,188.81%-2.3萬億-11.07%-1.63萬億-522.25%-2.14萬億114.66%1,274.43億-46.31%1.35萬億
債務發行/償還的淨現金流 209.95%2.25萬億104.61%785.06億75.27%-5,074.48億243.49%1.62萬億-14.15%1.06萬億-435.93%-2.05萬億-26.46%-1.7萬億-1,486.19%-2.05萬億228.91%4,702.94億-49.44%1.24萬億
普通股發行/償還的淨現金流 --0--0---------------923.11億--0------------
現金股利支付 -8.41%-9,152.16億-0.29%-1,896.11億-27.18%-2,448.37億-3.38%-4,774.9億-346.59%-32.78億-3.52%-8,441.95億0.90%-1,890.63億2.66%-1,925.08億-8.29%-4,618.9億-91.15%-7.34億
其他融資活動的淨現金流額 56.76%1.07萬億-28.41%1,845.47億197.23%5,853.08億-53.88%549.07億126.18%2,431.78億2,362.92%6,812.69億360.69%2,577.96億1,419.04%1,969.2億261.24%1,190.4億77.83%1,075.13億
非持續融資活動現金淨額
融資活動現金淨額 204.39%2.4萬億104.49%734.42億92.20%-1,669.77億835.97%1.19萬億-3.13%1.3萬億-1,188.81%-2.3萬億-11.07%-1.63萬億-522.25%-2.14萬億114.66%1,274.44億-46.31%1.35萬億
現金淨流量
期初現金流 1.45%6.77萬億-7.25%7.17萬億-12.85%7萬億-1.47%6.77萬億1.45%6.77萬億-17.17%6.67萬億8.14%7.73萬億26.52%8.03萬億-1.93%6.87萬億-17.17%6.67萬億
當期現金流變化 330.24%2,874.8億83.59%-1,863.46億144.66%1,099.2億-68.01%3,577.15億-95.54%61.91億91.08%-1,248.61億-180.33%-1.14萬億-132.39%-2,461.16億273.51%1.12萬億112.52%1,388.33億
利率變動影響 -102.51%-55.78億-65.66%600.14億195.88%569.23億-401.40%-1,284.35億-90.73%59.2億1,227.11%2,218.8億346.26%1,747.48億-260.34%-593.72億391.53%426.13億-2.11%638.91億
期末現金流 4.17%7.05萬億4.17%7.05萬億-7.25%7.17萬億-12.85%7萬億-1.47%6.77萬億1.45%6.77萬億1.45%6.77萬億8.14%7.73萬億26.52%8.03萬億-1.93%6.87萬億
自由現金流 -11.37%-1.67萬億272.39%1,267.03億-64.78%-1.06萬億-84.82%1,130.62億47.96%-8,513.58億-41.48%-1.5萬億106.68%340.24億-232.40%-6,418.67億8.24%7,448.81億5.08%-1.64萬億
貨幣單位 韓元韓元韓元韓元韓元韓元韓元韓元韓元韓元
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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