美股市場個股詳情

莎莉美容控股公司 (SBH)

添加自選
  • 11.830
  • -0.380-3.11%
收盤價 05/14 15:59 (美東)
  • 11.830
  • 0.0000.00%
盤後 16:10 (美東)
11.29億總市值6.54市盈率TTM

莎莉美容控股公司 (SBH) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2026/03/31
(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
經營活動現金流量(間接法)
持續經營活動現金淨額
43.51%7,328萬
178.68%9,323.9萬
11.48%2.75億
9.22%1.21億
44.97%6,943.1萬
38.23%5,106.4萬
-34.42%3,345.7萬
-1.12%2.47億
-5.03%1.11億
-9.84%4,789.5萬
持續經營淨收入
8.89%4,269.5萬
-25.33%4,555.7萬
27.68%1.96億
3.90%4,993.1萬
21.21%4,572.4萬
34.08%3,921萬
58.93%6,101.3萬
-16.89%1.53億
12.86%4,805.6萬
-25.77%3,772.4萬
持續經營損益
-56.51%13.7萬
100.65%17萬
-839.05%-2,683.5萬
-244.86%-36.9萬
-134.39%-58.4萬
-84.54%31.5萬
-1,309,950.00%-2,619.7萬
57.66%363.1萬
-106.30%-10.7萬
169,700.00%169.8萬
折舊和攤銷
-0.31%2,528萬
-7.56%2,363.2萬
-8.95%9,992.1萬
-7.16%2,432.8萬
-13.49%2,466.9萬
-5.92%2,535.9萬
-8.90%2,556.5萬
7.16%1.1億
-1.62%2,620.5萬
12.15%2,851.6萬
遞延稅費
234.25%318.7萬
236.88%302.1萬
-633.37%-1,219.6萬
-210.40%-535萬
66.09%-226.5萬
-169.66%-237.4萬
31.82%-220.7萬
-117.28%-166.3萬
-55.10%484.6萬
-229.06%-668萬
其他非現金項目
-7.58%48.8萬
-15.43%47.7萬
-13.40%211.4萬
-11.25%50.5萬
-13.83%51.7萬
-16.85%52.8萬
-11.46%56.4萬
-9.36%244.1萬
-18.13%56.9萬
-12.66%60萬
營運資金變化
75.12%-447.6萬
140.94%1,282.7萬
77.60%-869.4萬
66.14%4,521.3萬
75.58%-458.2萬
38.60%-1,799.1萬
-74.53%-3,133.4萬
45.80%-3,881萬
-7.57%2,721.3萬
26.80%-1,876.7萬
-應收款項(增)減
119.89%187.8萬
129.41%1,254.9萬
-64.08%-2,394.3萬
-3,963.80%-2,113.5萬
129.51%116.4萬
1.81%-944.2萬
446.42%547萬
-682.41%-1,459.2萬
-49.26%54.7萬
-122.82%-394.4萬
-存貨(增)減
-380.39%-1,534.3萬
-11.08%1,359.3萬
191.71%5,007.1萬
301.40%1,587.8萬
3.14%1,343.4萬
115.38%547.2萬
163.28%1,528.7萬
-153.56%-5,460萬
-149.97%-788.4萬
-58.04%1,302.5萬
-應付款項及應計費用(減)增
166.35%1,155.6萬
70.42%-1,594.9萬
-244.77%-4,761.5萬
16.21%4,107.6萬
47.32%-1,734.7萬
-194.00%-1,741.7萬
-551.50%-5,392.7萬
203.27%3,288.9萬
98.87%3,534.6萬
34.36%-3,292.9萬
-其他流動資產變化
-178.92%-297.7萬
-113.95%-42.3萬
-365.68%-260.9萬
-375.39%-706.9萬
-141.32%-234.4萬
1,097.88%377.2萬
207.29%303.2萬
223.21%98.2萬
66.25%-148.7萬
222.13%567.3萬
-其他流動負債變化
-12.16%-90.4萬
473.54%96萬
17.27%-89.1萬
-76.54%16萬
104.94%1.2萬
2.18%-80.6萬
62.86%-25.7萬
-252.55%-107.7萬
-6.06%68.2萬
-165.15%-24.3萬
-其他營運資本變化
205.58%131.4萬
323.32%209.7萬
775.50%1,629.3萬
181,044.44%1,630.3萬
242.98%49.9萬
130.05%43萬
-46.49%-93.9萬
85.17%-241.2萬
100.60%9,000
26.68%-34.9萬
非持續經營活動現金淨額
經營活動現金淨額
43.51%7,328萬
178.68%9,323.9萬
11.48%2.75億
9.22%1.21億
44.97%6,943.1萬
38.23%5,106.4萬
-34.42%3,345.7萬
-1.12%2.47億
-5.03%1.11億
-9.84%4,789.5萬
投資活動現金流量
持續投資活動現金淨額
-54.35%-2,916.2萬
-254.74%-3,578.4萬
46.48%-5,828.4萬
-1.02%-4,534.4萬
10.32%-1,717.2萬
-33.92%-1,889.3萬
175.16%2,312.5萬
-9.15%-1.09億
-24.75%-4,488.4萬
11.41%-1,914.9萬
固定資產交易的淨現金流
-54.35%-2,916.2萬
-252.30%-3,578.4萬
42.10%-5,857.1萬
-14.77%-4,287.4萬
-6.01%-2,030萬
-33.92%-1,889.3萬
176.91%2,349.6萬
-11.49%-1.01億
-38.64%-3,735.7萬
11.41%-1,914.9萬
業務交易的淨現金流
--0
--0
103.71%28.7萬
67.18%-247萬
--312.8萬
--0
-70.18%-37.1萬
14.27%-774.5萬
16.68%-752.7萬
--0
非持續投資活動現金淨額
投資活動現金淨額
-54.35%-2,916.2萬
-254.74%-3,578.4萬
46.48%-5,828.4萬
-1.02%-4,534.4萬
10.32%-1,717.2萬
-33.92%-1,889.3萬
175.16%2,312.5萬
-9.15%-1.09億
-24.75%-4,488.4萬
11.41%-1,914.9萬
融資活動現金流量
持續融資活動現金淨額
1.00%-4,553萬
16.96%-4,788.6萬
-16.06%-1.78億
27.44%-4,056萬
-18.34%-3,420.4萬
0.36%-4,599.2萬
-153.19%-5,766.7萬
-52.48%-1.54億
-71.65%-5,589.9萬
-51.95%-2,890.3萬
債務發行/償還的淨現金流
44.50%-2,000萬
51.27%-2,000萬
-41.58%-1.19億
54.39%-2,100萬
-16.64%-2,104.3萬
-89.65%-3,603.8萬
-3,801.24%-4,104.1萬
-3.65%-8,413.7萬
-170.15%-4,604.2萬
5.25%-1,804.1萬
普通股發行/償還的淨現金流
-149.95%-2,559.2萬
-108.66%-2,075.7萬
10.59%-5,399.6萬
-108.84%-2,065.8萬
-30.21%-1,315.1萬
49.31%-1,023.9萬
50.75%-994.8萬
-298.63%-6,039.2萬
34.71%-989.2萬
---1,010萬
職工行使股票期權收到的現金
-77.95%7.1萬
155.56%20.7萬
-14.92%150萬
906.42%109.7萬
--0
-76.97%32.2萬
-62.50%8.1萬
-6.47%176.3萬
34.57%10.9萬
-50.62%4萬
其他融資活動的淨現金流額
75.68%-9,000
-8.54%-733.6萬
37.96%-680.5萬
101.35%1,000
98.75%-1萬
99.56%-3.7萬
-288.45%-675.9萬
-71.86%-1,096.8萬
83.66%-7.4萬
-1,193.55%-80.2萬
非持續融資活動現金淨額
融資活動現金淨額
1.00%-4,553萬
16.96%-4,788.6萬
-16.06%-1.78億
27.44%-4,056萬
-18.34%-3,420.4萬
0.36%-4,599.2萬
-153.19%-5,766.7萬
-52.48%-1.54億
-71.65%-5,589.9萬
-51.95%-2,890.3萬
現金淨流量
期初現金流
48.95%1.57億
38.16%1.49億
-12.23%1.08億
15.84%1.13億
-5.15%9,217.4萬
-12.79%1.06億
-12.23%1.08億
74.33%1.23億
30.99%9,737.5萬
57.70%9,717.4萬
當期現金流變化
89.78%-141.2萬
981.94%956.9萬
336.56%3,812.4萬
253.64%3,497.5萬
11,600.00%1,805.5萬
40.74%-1,382.1萬
57.03%-108.5萬
-133.08%-1,611.6萬
-79.39%989萬
-101.26%-15.7萬
利率變動影響
248.61%162.8萬
-14.69%-154.6萬
185.97%307.7萬
99.28%138.7萬
618.16%257.1萬
193.21%46.7萬
-357.74%-134.8萬
-71.17%107.6萬
4.04%69.6萬
54.98%35.8萬
期末現金流
70.77%1.57億
48.95%1.57億
38.16%1.49億
38.16%1.49億
15.84%1.13億
-5.15%9,217.4萬
-12.79%1.06億
-12.23%1.08億
-12.23%1.08億
30.99%9,737.5萬
自由現金流
37.14%4,411.8萬
329.44%5,745.5萬
18.80%1.73億
6.40%7,800.5萬
70.91%4,913.1萬
40.90%3,217.1萬
-34.64%1,337.9萬
-8.33%1.45億
-18.17%7,331.6萬
-8.77%2,874.6萬
貨幣單位
美元
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會計準則
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US-GAAP
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US-GAAP
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US-GAAP
審計意見
--
--
無保留意見
--
--
--
--
無保留意見
--
--
(Q2)2026/03/31(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
經營活動現金流量(間接法)
持續經營活動現金淨額 43.51%7,328萬178.68%9,323.9萬11.48%2.75億9.22%1.21億44.97%6,943.1萬38.23%5,106.4萬-34.42%3,345.7萬-1.12%2.47億-5.03%1.11億-9.84%4,789.5萬
持續經營淨收入 8.89%4,269.5萬-25.33%4,555.7萬27.68%1.96億3.90%4,993.1萬21.21%4,572.4萬34.08%3,921萬58.93%6,101.3萬-16.89%1.53億12.86%4,805.6萬-25.77%3,772.4萬
持續經營損益 -56.51%13.7萬100.65%17萬-839.05%-2,683.5萬-244.86%-36.9萬-134.39%-58.4萬-84.54%31.5萬-1,309,950.00%-2,619.7萬57.66%363.1萬-106.30%-10.7萬169,700.00%169.8萬
折舊和攤銷 -0.31%2,528萬-7.56%2,363.2萬-8.95%9,992.1萬-7.16%2,432.8萬-13.49%2,466.9萬-5.92%2,535.9萬-8.90%2,556.5萬7.16%1.1億-1.62%2,620.5萬12.15%2,851.6萬
遞延稅費 234.25%318.7萬236.88%302.1萬-633.37%-1,219.6萬-210.40%-535萬66.09%-226.5萬-169.66%-237.4萬31.82%-220.7萬-117.28%-166.3萬-55.10%484.6萬-229.06%-668萬
其他非現金項目 -7.58%48.8萬-15.43%47.7萬-13.40%211.4萬-11.25%50.5萬-13.83%51.7萬-16.85%52.8萬-11.46%56.4萬-9.36%244.1萬-18.13%56.9萬-12.66%60萬
營運資金變化 75.12%-447.6萬140.94%1,282.7萬77.60%-869.4萬66.14%4,521.3萬75.58%-458.2萬38.60%-1,799.1萬-74.53%-3,133.4萬45.80%-3,881萬-7.57%2,721.3萬26.80%-1,876.7萬
-應收款項(增)減 119.89%187.8萬129.41%1,254.9萬-64.08%-2,394.3萬-3,963.80%-2,113.5萬129.51%116.4萬1.81%-944.2萬446.42%547萬-682.41%-1,459.2萬-49.26%54.7萬-122.82%-394.4萬
-存貨(增)減 -380.39%-1,534.3萬-11.08%1,359.3萬191.71%5,007.1萬301.40%1,587.8萬3.14%1,343.4萬115.38%547.2萬163.28%1,528.7萬-153.56%-5,460萬-149.97%-788.4萬-58.04%1,302.5萬
-應付款項及應計費用(減)增 166.35%1,155.6萬70.42%-1,594.9萬-244.77%-4,761.5萬16.21%4,107.6萬47.32%-1,734.7萬-194.00%-1,741.7萬-551.50%-5,392.7萬203.27%3,288.9萬98.87%3,534.6萬34.36%-3,292.9萬
-其他流動資產變化 -178.92%-297.7萬-113.95%-42.3萬-365.68%-260.9萬-375.39%-706.9萬-141.32%-234.4萬1,097.88%377.2萬207.29%303.2萬223.21%98.2萬66.25%-148.7萬222.13%567.3萬
-其他流動負債變化 -12.16%-90.4萬473.54%96萬17.27%-89.1萬-76.54%16萬104.94%1.2萬2.18%-80.6萬62.86%-25.7萬-252.55%-107.7萬-6.06%68.2萬-165.15%-24.3萬
-其他營運資本變化 205.58%131.4萬323.32%209.7萬775.50%1,629.3萬181,044.44%1,630.3萬242.98%49.9萬130.05%43萬-46.49%-93.9萬85.17%-241.2萬100.60%9,00026.68%-34.9萬
非持續經營活動現金淨額
經營活動現金淨額 43.51%7,328萬178.68%9,323.9萬11.48%2.75億9.22%1.21億44.97%6,943.1萬38.23%5,106.4萬-34.42%3,345.7萬-1.12%2.47億-5.03%1.11億-9.84%4,789.5萬
投資活動現金流量
持續投資活動現金淨額 -54.35%-2,916.2萬-254.74%-3,578.4萬46.48%-5,828.4萬-1.02%-4,534.4萬10.32%-1,717.2萬-33.92%-1,889.3萬175.16%2,312.5萬-9.15%-1.09億-24.75%-4,488.4萬11.41%-1,914.9萬
固定資產交易的淨現金流 -54.35%-2,916.2萬-252.30%-3,578.4萬42.10%-5,857.1萬-14.77%-4,287.4萬-6.01%-2,030萬-33.92%-1,889.3萬176.91%2,349.6萬-11.49%-1.01億-38.64%-3,735.7萬11.41%-1,914.9萬
業務交易的淨現金流 --0--0103.71%28.7萬67.18%-247萬--312.8萬--0-70.18%-37.1萬14.27%-774.5萬16.68%-752.7萬--0
非持續投資活動現金淨額
投資活動現金淨額 -54.35%-2,916.2萬-254.74%-3,578.4萬46.48%-5,828.4萬-1.02%-4,534.4萬10.32%-1,717.2萬-33.92%-1,889.3萬175.16%2,312.5萬-9.15%-1.09億-24.75%-4,488.4萬11.41%-1,914.9萬
融資活動現金流量
持續融資活動現金淨額 1.00%-4,553萬16.96%-4,788.6萬-16.06%-1.78億27.44%-4,056萬-18.34%-3,420.4萬0.36%-4,599.2萬-153.19%-5,766.7萬-52.48%-1.54億-71.65%-5,589.9萬-51.95%-2,890.3萬
債務發行/償還的淨現金流 44.50%-2,000萬51.27%-2,000萬-41.58%-1.19億54.39%-2,100萬-16.64%-2,104.3萬-89.65%-3,603.8萬-3,801.24%-4,104.1萬-3.65%-8,413.7萬-170.15%-4,604.2萬5.25%-1,804.1萬
普通股發行/償還的淨現金流 -149.95%-2,559.2萬-108.66%-2,075.7萬10.59%-5,399.6萬-108.84%-2,065.8萬-30.21%-1,315.1萬49.31%-1,023.9萬50.75%-994.8萬-298.63%-6,039.2萬34.71%-989.2萬---1,010萬
職工行使股票期權收到的現金 -77.95%7.1萬155.56%20.7萬-14.92%150萬906.42%109.7萬--0-76.97%32.2萬-62.50%8.1萬-6.47%176.3萬34.57%10.9萬-50.62%4萬
其他融資活動的淨現金流額 75.68%-9,000-8.54%-733.6萬37.96%-680.5萬101.35%1,00098.75%-1萬99.56%-3.7萬-288.45%-675.9萬-71.86%-1,096.8萬83.66%-7.4萬-1,193.55%-80.2萬
非持續融資活動現金淨額
融資活動現金淨額 1.00%-4,553萬16.96%-4,788.6萬-16.06%-1.78億27.44%-4,056萬-18.34%-3,420.4萬0.36%-4,599.2萬-153.19%-5,766.7萬-52.48%-1.54億-71.65%-5,589.9萬-51.95%-2,890.3萬
現金淨流量
期初現金流 48.95%1.57億38.16%1.49億-12.23%1.08億15.84%1.13億-5.15%9,217.4萬-12.79%1.06億-12.23%1.08億74.33%1.23億30.99%9,737.5萬57.70%9,717.4萬
當期現金流變化 89.78%-141.2萬981.94%956.9萬336.56%3,812.4萬253.64%3,497.5萬11,600.00%1,805.5萬40.74%-1,382.1萬57.03%-108.5萬-133.08%-1,611.6萬-79.39%989萬-101.26%-15.7萬
利率變動影響 248.61%162.8萬-14.69%-154.6萬185.97%307.7萬99.28%138.7萬618.16%257.1萬193.21%46.7萬-357.74%-134.8萬-71.17%107.6萬4.04%69.6萬54.98%35.8萬
期末現金流 70.77%1.57億48.95%1.57億38.16%1.49億38.16%1.49億15.84%1.13億-5.15%9,217.4萬-12.79%1.06億-12.23%1.08億-12.23%1.08億30.99%9,737.5萬
自由現金流 37.14%4,411.8萬329.44%5,745.5萬18.80%1.73億6.40%7,800.5萬70.91%4,913.1萬40.90%3,217.1萬-34.64%1,337.9萬-8.33%1.45億-18.17%7,331.6萬-8.77%2,874.6萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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