Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
United States Gasoline Fund LP
UGA
5
Power Shares德銀石油基金
DBO
| (Q1)2025/12/31 | (FY)2025/09/30 | (Q4)2025/09/30 | (Q3)2025/06/30 | (Q2)2025/03/31 | (Q1)2024/12/31 | (FY)2024/09/30 | (Q4)2024/09/30 | (Q3)2024/06/30 | (Q2)2024/03/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動現金流量(間接法) | ||||||||||
| 持續經營活動現金淨額 | -41.43%781.6萬 | -11.57%4,941.8萬 | -12.25%1,373.4萬 | -12.50%1,379.3萬 | -21.12%854.7萬 | -2.12%1,334.4萬 | -5.49%5,588.4萬 | 29.07%1,565.1萬 | 2.90%1,576.4萬 | -35.46%1,083.6萬 |
| 持續經營淨收入 | -151.29%-464.9萬 | 259.15%1,083.9萬 | -2,336.73%-548萬 | 177.78%406萬 | 326.44%319.4萬 | 25.14%906.5萬 | -89.63%301.8萬 | -88.44%24.5萬 | -157.89%-522萬 | -90.26%74.9萬 |
| 持續經營損益 | 102.05%3萬 | 53.41%-103.2萬 | 108.32%19.4萬 | -72.15%2.2萬 | 437.50%21.5萬 | -48,666.67%-146.3萬 | -154.60%-221.5萬 | -116,650.00%-233.1萬 | 143.17%7.9萬 | 1,433.33%4萬 |
| 折舊和攤銷 | 17.32%418.7萬 | -2.06%1,507.8萬 | 2.24%384.1萬 | -0.23%389.2萬 | -2.78%377.6萬 | -7.37%356.9萬 | 1.61%1,539.5萬 | -7.07%375.7萬 | -3.46%390.1萬 | 3.30%388.4萬 |
| 遞延稅費 | --0 | 84.43%-100.4萬 | 3,958.06%119.6萬 | 78.75%-95.8萬 | 55.36%-85.3萬 | ---38.9萬 | -262.16%-645萬 | 96.87%-3.1萬 | -470.63%-450.8萬 | ---191.1萬 |
| 其他非現金項目 | 2,591.84%1,069萬 | -59.88%123萬 | 140.21%68.7萬 | -91.75%7.7萬 | -2.93%89.5萬 | -146.38%-42.9萬 | -12.80%306.6萬 | -69.18%28.6萬 | 0.86%93.3萬 | 6.71%92.2萬 |
| 營運資金變化 | -258.55%-399.7萬 | 558.70%1,759.4萬 | 1,194.20%937萬 | 188.52%628.1萬 | 57.25%-57.8萬 | 124.69%252.1萬 | 322.03%267.1萬 | 119.14%72.4萬 | 375.22%217.7萬 | -143.51%-135.2萬 |
| -應收款項(增)減 | -114.92%-35.4萬 | -54.63%194.3萬 | -45.41%67.2萬 | -122.32%-44.3萬 | -306.79%-65.9萬 | 93.08%237.3萬 | 279.73%428.3萬 | 131.87%123.1萬 | 157.12%198.5萬 | 78.08%-16.2萬 |
| -存貨(增)減 | 725.00%2.5萬 | 93.53%-2萬 | -13.40%-11萬 | 137.14%2.6萬 | -10.53%6.8萬 | 98.17%-4,000 | -274.58%-30.9萬 | -198.98%-9.7萬 | ---7萬 | -56.07%7.6萬 |
| -預付費用(增)減 | -371.91%-282.2萬 | 48.74%-124.1萬 | -254.37%-164.1萬 | -68.32%93萬 | -97.39%6.8萬 | 93.38%-59.8萬 | -561.48%-242.1萬 | -67.15%106.3萬 | 39.61%293.6萬 | 73.59%260.9萬 |
| -應付款項及應計費用(減)增 | -212.80%-84.6萬 | 1,412.70%1,691.2萬 | 809.37%1,044.9萬 | 315.71%576.8萬 | 98.58%-5.5萬 | -91.79%75萬 | -18.33%111.8萬 | 54.72%-147.3萬 | 27.06%-267.4萬 | -278.57%-387.5萬 |
| 非持續經營活動現金淨額 | ||||||||||
| 經營活動現金淨額 | -41.43%781.6萬 | -11.57%4,941.8萬 | -12.25%1,373.4萬 | -12.50%1,379.3萬 | -21.12%854.7萬 | -2.12%1,334.4萬 | -5.49%5,588.4萬 | 29.07%1,565.1萬 | 2.90%1,576.4萬 | -35.46%1,083.6萬 |
| 投資活動現金流量 | ||||||||||
| 持續投資活動現金淨額 | 64.96%-154.3萬 | -14.40%-2,404.1萬 | 50.22%-195.4萬 | -123.91%-986.1萬 | -2.84%-782.2萬 | 13.31%-440.4萬 | 67.58%-2,101.5萬 | 49.53%-392.5萬 | 50.91%-440.4萬 | 77.91%-760.6萬 |
| 固定資產交易的淨現金流 | 59.49%-233.1萬 | 40.95%-1,452.7萬 | 58.41%-223.8萬 | 42.64%-368.1萬 | 62.78%-285.4萬 | -12.05%-575.4萬 | 39.08%-2,460萬 | 41.92%-538.1萬 | 28.93%-641.7萬 | 19.61%-766.7萬 |
| 業務交易的淨現金流 | 365.12%60萬 | -704.72%-1,190.7萬 | -63.16%7,000 | -458.92%-699.9萬 | ---504.4萬 | --12.9萬 | 107.95%196.9萬 | -98.68%1.9萬 | 194,900.00%195萬 | --0 |
| 其他投資活動的淨現金流 | -84.60%18.8萬 | 48.08%239.3萬 | -80.72%27.7萬 | 1,200.00%81.9萬 | 24.59%7.6萬 | 2,120.00%122.1萬 | 413.02%161.6萬 | 2,561.11%143.7萬 | 10.53%6.3萬 | -28.24%6.1萬 |
| 非持續投資活動現金淨額 | ||||||||||
| 投資活動現金淨額 | 64.96%-154.3萬 | -14.40%-2,404.1萬 | 50.22%-195.4萬 | -123.91%-986.1萬 | -2.84%-782.2萬 | 13.31%-440.4萬 | 67.58%-2,101.5萬 | 49.53%-392.5萬 | 50.91%-440.4萬 | 77.91%-760.6萬 |
| 融資活動現金流量 | ||||||||||
| 持續融資活動現金淨額 | -72.72%-1,135.1萬 | -2.02%-2,401.8萬 | 46.46%-766.8萬 | -293.64%-699.8萬 | 36.99%-278萬 | 21.96%-657.2萬 | -154.15%-2,354.2萬 | -107.28%-1,432.3萬 | 165.13%361.4萬 | -169.89%-441.2萬 |
| 債務發行/償還的淨現金流 | 1.17%-269.9萬 | -2,694.77%-961.4萬 | 25.68%-435.8萬 | -124.69%-333.1萬 | 134.71%80.6萬 | 51.67%-273.1萬 | 91.52%-34.4萬 | -38.99%-586.4萬 | 372.59%1,349.3萬 | -133.29%-232.2萬 |
| 普通股發行/償還的淨現金流 | -205.50%-983.1萬 | 42.44%-1,186萬 | 65.50%-270.2萬 | 66.82%-304.4萬 | -89.28%-289.6萬 | -55.31%-321.8萬 | -826.95%-2,060.6萬 | -268.52%-783.1萬 | ---917.3萬 | ---153萬 |
| 現金股利支付 | 12.52%-54.5萬 | -7.04%-246.4萬 | 3.18%-60.8萬 | -11.23%-61.4萬 | -10.54%-61.9萬 | -10.85%-62.3萬 | -7.27%-230.2萬 | -10.95%-62.8萬 | 2.30%-55.2萬 | -1.27%-56萬 |
| 其他融資活動的淨現金流額 | --172.4萬 | 72.41%-8萬 | --0 | 94.16%-9,000 | ---- | ---- | 65.44%-29萬 | --0 | -352.94%-15.4萬 | --0 |
| 非持續融資活動現金淨額 | ||||||||||
| 融資活動現金淨額 | -72.72%-1,135.1萬 | -2.02%-2,401.8萬 | 46.46%-766.8萬 | -293.64%-699.8萬 | 36.99%-278萬 | 21.96%-657.2萬 | -154.15%-2,354.2萬 | -107.28%-1,432.3萬 | 165.13%361.4萬 | -169.89%-441.2萬 |
| 現金淨流量 | ||||||||||
| 期初現金流 | 4.20%3,370.9萬 | 53.88%3,235萬 | -15.31%2,959.7萬 | 63.54%3,266.3萬 | 64.11%3,471.8萬 | 53.88%3,235萬 | -41.57%2,102.3萬 | 48.18%3,494.7萬 | -12.34%1,997.3萬 | -37.98%2,115.5萬 |
| 當期現金流變化 | -314.44%-507.8萬 | -88.00%135.9萬 | 258.34%411.2萬 | -120.48%-306.6萬 | -73.86%-205.5萬 | 1,693.94%236.8萬 | 175.73%1,132.7萬 | -1.41%-259.7萬 | 1,771.75%1,497.4萬 | 89.56%-118.2萬 |
| 期末現金流 | -17.53%2,863.1萬 | 4.20%3,370.9萬 | 4.20%3,370.9萬 | -15.31%2,959.7萬 | 63.54%3,266.3萬 | 64.11%3,471.8萬 | 53.88%3,235萬 | 53.88%3,235萬 | 48.18%3,494.7萬 | -12.34%1,997.3萬 |
| 自由現金流 | -27.73%548.5萬 | 11.53%3,489.1萬 | 11.94%1,149.6萬 | 8.18%1,011.2萬 | 79.65%569.3萬 | -10.68%759萬 | 66.88%3,128.4萬 | 258.97%1,027萬 | 48.58%934.7萬 | -56.30%316.9萬 |
| 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 | -- | 帶解釋段的無保留意見 | -- | -- | -- | -- | 無保留意見 | -- | -- | -- |