美股市場個股詳情

帕沃英蒂格盛 (POWI)

添加自選
  • 73.540
  • +0.910+1.25%
收盤價 04/24 15:59 (美東)
  • 73.540
  • 0.0000.00%
盤後 20:01 (美東)
40.96億總市值188.56市盈率TTM

帕沃英蒂格盛 (POWI) 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
37.37%1.12億
77.96%2,620.6萬
-9.31%2,985.4萬
64.89%2,907.2萬
65.90%2,638.6萬
23.45%8,118.1萬
-9.47%1,472.6萬
23.17%3,291.9萬
185.25%1,763.1萬
-4.10%1,590.5萬
持續經營淨收入
-31.46%2,209.3萬
45.40%1,329萬
-109.49%-135.6萬
-71.77%136.9萬
122.31%879萬
-42.17%3,223.4萬
-35.95%914萬
-27.81%1,429.1萬
-67.22%484.9萬
-42.49%395.4萬
持續經營損益
-145.00%-10.8萬
--0
----
----
----
140.00%24萬
71.43%2.4萬
225.00%20.8萬
--0
14.29%8,000
折舊和攤銷
-18.96%2,802.6萬
-16.80%661.5萬
-22.07%675萬
-17.23%721萬
-19.52%745.1萬
-7.48%3,458.2萬
-15.68%795.1萬
-5.92%866.2萬
-5.67%871.1萬
-2.59%925.8萬
遞延稅費
110.75%89.8萬
423.51%175.9萬
99.87%-7,000
178.21%168.3萬
-90.75%-253.7萬
9.68%-835.2萬
-52.34%33.6萬
27.39%-520.6萬
-5.28%-215.2萬
-80.22%-133萬
營運資金變化
308.98%2,239.6萬
142.17%499.4萬
-53.99%356.8萬
299.65%910.8萬
328.75%472.6萬
76.67%-1,071.7萬
21.87%-1,184.3萬
530.06%775.4萬
79.80%-456.2萬
67.62%-206.6萬
-應收款項(增)減
175.57%926萬
222.97%1,322.2萬
-851.82%-393.2萬
-12.24%-477.7萬
112.68%474.7萬
-285.20%-1,225.3萬
-177.55%-1,075.2萬
-85.22%52.3萬
62.97%-425.6萬
216.60%223.2萬
-存貨(增)減
47.92%-127.5萬
-209.72%-226.9萬
71.42%377.8萬
133.28%67.2萬
26.48%-345.6萬
91.18%-244.8萬
116.01%206.8萬
536.44%220.4萬
72.33%-201.9萬
33.07%-470.1萬
-預付費用(增)減
-84.13%63.5萬
-183.08%-456.6萬
-133.99%-120.4萬
147.63%303.6萬
298.23%336.9萬
438.21%400.1萬
-366.18%-161.3萬
-44.69%354.2萬
124.82%122.6萬
136.75%84.6萬
-應付款項及應計費用(減)增
81,135.29%1,377.6萬
9.90%-139.3萬
231.72%492.6萬
1,989.73%1,017.7萬
114.90%6.6萬
99.93%-1.7萬
90.19%-154.6萬
113.21%148.5萬
-57.39%48.7萬
-119.78%-44.3萬
非持續經營活動現金淨額
經營活動現金淨額
37.37%1.12億
77.96%2,620.6萬
-9.31%2,985.4萬
64.89%2,907.2萬
65.90%2,638.6萬
23.45%8,118.1萬
-9.47%1,472.6萬
23.17%3,291.9萬
185.25%1,763.1萬
-4.10%1,590.5萬
投資活動現金流量
持續投資活動現金淨額
239.69%3,620.7萬
46.56%-448萬
121.36%354.3萬
3,760.83%3,261.8萬
8,040.35%452.6萬
-83.14%-2,592萬
-171.62%-838.4萬
-156.03%-1,658.8萬
16.65%-89.1萬
99.69%-5.7萬
固定資產交易的淨現金流
-40.26%-2,424.6萬
-131.53%-705萬
3.26%-554.4萬
-42.21%-592.6萬
-31.84%-572.6萬
17.23%-1,728.6萬
50.43%-304.5萬
23.89%-573.1萬
-33.17%-416.7萬
-6.39%-434.3萬
業務交易的淨現金流
--0
--0
----
----
----
---952萬
--0
----
----
----
投資產品交易的淨現金流
6,723.14%6,045.3萬
148.14%257萬
779.66%908.7萬
1,076.56%3,854.4萬
139.20%1,025.2萬
-86.84%88.6萬
-129.91%-533.9萬
-227.21%-133.7萬
59.03%327.6萬
130.12%428.6萬
非持續投資活動現金淨額
投資活動現金淨額
239.69%3,620.7萬
46.56%-448萬
121.36%354.3萬
3,760.83%3,261.8萬
8,040.35%452.6萬
-83.14%-2,592萬
-171.62%-838.4萬
-156.03%-1,658.8萬
16.65%-89.1萬
99.69%-5.7萬
融資活動現金流量
持續融資活動現金淨額
-105.14%-1.4億
16.06%-1,161.7萬
-518.62%-5,168.6萬
-95.54%-4,436.9萬
-38.30%-3,227萬
26.69%-6,821.8萬
76.46%-1,383.9萬
12.97%-835.5萬
-49.23%-2,269萬
-146.74%-2,333.4萬
債務發行/償還的淨現金流
--0
--0
--0
----
----
--0
--0
--0
----
----
普通股發行/償還的淨現金流
-251.85%-9,809.8萬
--0
---4,244萬
-187.18%-3,256萬
-57.76%-2,309.8萬
49.56%-2,788.1萬
95.99%-190.2萬
--0
-162.94%-1,133.8萬
-767.87%-1,464.1萬
現金股利支付
-2.46%-4,717萬
2.68%-1,161.7萬
-3.70%-1,178.5萬
-4.03%-1,180.9萬
-5.05%-1,195.9萬
-4.61%-4,603.7萬
-5.24%-1,193.7萬
-4.22%-1,136.4萬
-4.21%-1,135.2萬
-4.75%-1,138.4萬
職工行使股票期權收到的現金
-6.56%532.6萬
--0
-15.62%253.9萬
--0
3.57%278.7萬
-8.61%570萬
--0
-4.14%300.9萬
--0
-13.14%269.1萬
非持續融資活動現金淨額
融資活動現金淨額
-105.14%-1.4億
16.06%-1,161.7萬
-518.62%-5,168.6萬
-95.54%-4,436.9萬
-38.30%-3,227萬
26.69%-6,821.8萬
76.46%-1,383.9萬
12.97%-835.5萬
-49.23%-2,269萬
-146.74%-2,333.4萬
現金淨流量
期初現金流
-20.27%5,097.2萬
-16.80%4,864.6萬
32.56%6,693.5萬
-12.10%4,961.4萬
-20.27%5,097.2萬
-39.33%6,392.9萬
-38.29%5,846.9萬
-39.96%5,049.3萬
-40.07%5,644.3萬
-39.33%6,392.9萬
當期現金流變化
160.07%778.3萬
234.84%1,010.9萬
-329.30%-1,828.9萬
391.11%1,732.1萬
81.86%-135.8萬
68.74%-1,295.7萬
75.67%-749.7萬
-25.09%797.6萬
41.05%-595萬
33.06%-748.6萬
期末現金流
15.27%5,875.5萬
15.27%5,875.5萬
-16.80%4,864.6萬
32.56%6,693.5萬
-12.10%4,961.4萬
-20.27%5,097.2萬
-20.27%5,097.2萬
-38.29%5,846.9萬
-39.96%5,049.3萬
-40.07%5,644.3萬
自由現金流
36.35%8,712.2萬
63.99%1,915.6萬
-11.14%2,416萬
71.91%2,314.6萬
78.69%2,066萬
42.38%6,389.5萬
15.38%1,168.1萬
41.63%2,718.8萬
341.15%1,346.4萬
-7.53%1,156.2萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
(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 37.37%1.12億77.96%2,620.6萬-9.31%2,985.4萬64.89%2,907.2萬65.90%2,638.6萬23.45%8,118.1萬-9.47%1,472.6萬23.17%3,291.9萬185.25%1,763.1萬-4.10%1,590.5萬
持續經營淨收入 -31.46%2,209.3萬45.40%1,329萬-109.49%-135.6萬-71.77%136.9萬122.31%879萬-42.17%3,223.4萬-35.95%914萬-27.81%1,429.1萬-67.22%484.9萬-42.49%395.4萬
持續經營損益 -145.00%-10.8萬--0------------140.00%24萬71.43%2.4萬225.00%20.8萬--014.29%8,000
折舊和攤銷 -18.96%2,802.6萬-16.80%661.5萬-22.07%675萬-17.23%721萬-19.52%745.1萬-7.48%3,458.2萬-15.68%795.1萬-5.92%866.2萬-5.67%871.1萬-2.59%925.8萬
遞延稅費 110.75%89.8萬423.51%175.9萬99.87%-7,000178.21%168.3萬-90.75%-253.7萬9.68%-835.2萬-52.34%33.6萬27.39%-520.6萬-5.28%-215.2萬-80.22%-133萬
營運資金變化 308.98%2,239.6萬142.17%499.4萬-53.99%356.8萬299.65%910.8萬328.75%472.6萬76.67%-1,071.7萬21.87%-1,184.3萬530.06%775.4萬79.80%-456.2萬67.62%-206.6萬
-應收款項(增)減 175.57%926萬222.97%1,322.2萬-851.82%-393.2萬-12.24%-477.7萬112.68%474.7萬-285.20%-1,225.3萬-177.55%-1,075.2萬-85.22%52.3萬62.97%-425.6萬216.60%223.2萬
-存貨(增)減 47.92%-127.5萬-209.72%-226.9萬71.42%377.8萬133.28%67.2萬26.48%-345.6萬91.18%-244.8萬116.01%206.8萬536.44%220.4萬72.33%-201.9萬33.07%-470.1萬
-預付費用(增)減 -84.13%63.5萬-183.08%-456.6萬-133.99%-120.4萬147.63%303.6萬298.23%336.9萬438.21%400.1萬-366.18%-161.3萬-44.69%354.2萬124.82%122.6萬136.75%84.6萬
-應付款項及應計費用(減)增 81,135.29%1,377.6萬9.90%-139.3萬231.72%492.6萬1,989.73%1,017.7萬114.90%6.6萬99.93%-1.7萬90.19%-154.6萬113.21%148.5萬-57.39%48.7萬-119.78%-44.3萬
非持續經營活動現金淨額
經營活動現金淨額 37.37%1.12億77.96%2,620.6萬-9.31%2,985.4萬64.89%2,907.2萬65.90%2,638.6萬23.45%8,118.1萬-9.47%1,472.6萬23.17%3,291.9萬185.25%1,763.1萬-4.10%1,590.5萬
投資活動現金流量
持續投資活動現金淨額 239.69%3,620.7萬46.56%-448萬121.36%354.3萬3,760.83%3,261.8萬8,040.35%452.6萬-83.14%-2,592萬-171.62%-838.4萬-156.03%-1,658.8萬16.65%-89.1萬99.69%-5.7萬
固定資產交易的淨現金流 -40.26%-2,424.6萬-131.53%-705萬3.26%-554.4萬-42.21%-592.6萬-31.84%-572.6萬17.23%-1,728.6萬50.43%-304.5萬23.89%-573.1萬-33.17%-416.7萬-6.39%-434.3萬
業務交易的淨現金流 --0--0---------------952萬--0------------
投資產品交易的淨現金流 6,723.14%6,045.3萬148.14%257萬779.66%908.7萬1,076.56%3,854.4萬139.20%1,025.2萬-86.84%88.6萬-129.91%-533.9萬-227.21%-133.7萬59.03%327.6萬130.12%428.6萬
非持續投資活動現金淨額
投資活動現金淨額 239.69%3,620.7萬46.56%-448萬121.36%354.3萬3,760.83%3,261.8萬8,040.35%452.6萬-83.14%-2,592萬-171.62%-838.4萬-156.03%-1,658.8萬16.65%-89.1萬99.69%-5.7萬
融資活動現金流量
持續融資活動現金淨額 -105.14%-1.4億16.06%-1,161.7萬-518.62%-5,168.6萬-95.54%-4,436.9萬-38.30%-3,227萬26.69%-6,821.8萬76.46%-1,383.9萬12.97%-835.5萬-49.23%-2,269萬-146.74%-2,333.4萬
債務發行/償還的淨現金流 --0--0--0----------0--0--0--------
普通股發行/償還的淨現金流 -251.85%-9,809.8萬--0---4,244萬-187.18%-3,256萬-57.76%-2,309.8萬49.56%-2,788.1萬95.99%-190.2萬--0-162.94%-1,133.8萬-767.87%-1,464.1萬
現金股利支付 -2.46%-4,717萬2.68%-1,161.7萬-3.70%-1,178.5萬-4.03%-1,180.9萬-5.05%-1,195.9萬-4.61%-4,603.7萬-5.24%-1,193.7萬-4.22%-1,136.4萬-4.21%-1,135.2萬-4.75%-1,138.4萬
職工行使股票期權收到的現金 -6.56%532.6萬--0-15.62%253.9萬--03.57%278.7萬-8.61%570萬--0-4.14%300.9萬--0-13.14%269.1萬
非持續融資活動現金淨額
融資活動現金淨額 -105.14%-1.4億16.06%-1,161.7萬-518.62%-5,168.6萬-95.54%-4,436.9萬-38.30%-3,227萬26.69%-6,821.8萬76.46%-1,383.9萬12.97%-835.5萬-49.23%-2,269萬-146.74%-2,333.4萬
現金淨流量
期初現金流 -20.27%5,097.2萬-16.80%4,864.6萬32.56%6,693.5萬-12.10%4,961.4萬-20.27%5,097.2萬-39.33%6,392.9萬-38.29%5,846.9萬-39.96%5,049.3萬-40.07%5,644.3萬-39.33%6,392.9萬
當期現金流變化 160.07%778.3萬234.84%1,010.9萬-329.30%-1,828.9萬391.11%1,732.1萬81.86%-135.8萬68.74%-1,295.7萬75.67%-749.7萬-25.09%797.6萬41.05%-595萬33.06%-748.6萬
期末現金流 15.27%5,875.5萬15.27%5,875.5萬-16.80%4,864.6萬32.56%6,693.5萬-12.10%4,961.4萬-20.27%5,097.2萬-20.27%5,097.2萬-38.29%5,846.9萬-39.96%5,049.3萬-40.07%5,644.3萬
自由現金流 36.35%8,712.2萬63.99%1,915.6萬-11.14%2,416萬71.91%2,314.6萬78.69%2,066萬42.38%6,389.5萬15.38%1,168.1萬41.63%2,718.8萬341.15%1,346.4萬-7.53%1,156.2萬
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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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