加拿大市場個股詳情

SoftBank Group Corp (SFTB)

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  • 15.650
  • -0.580-3.57%
延時15分鐘行情已收盤 01/15 14:41 (美東)
893.90億總市值3.11市盈率TTM

SoftBank Group Corp (SFTB) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
經營活動現金流量(間接法)
經營活動產生的現金
36.35%2,833.66億
179.37%3,052.06億
-51.59%6,011.38億
-53.94%2,134.19億
-31.35%2,078.15億
-64.93%1,092.46億
-21.09%1.24萬億
40.40%1,641.07億
-20.23%4,633.92億
-34.59%3,026.97億
扣除非現金調整前淨利潤
124.65%2.76萬億
5,290.77%5,641.44億
666.24%1.6萬億
-118.23%-1,796.77億
255.51%1.23萬億
103.31%104.65億
126.49%2,092.17億
1,142.09%3,288.95億
232.34%9,854.75億
-125.59%-7,889.59億
非現金項目調整總額
-174.36%-2.63萬億
-230.22%-1,197.71億
-140.52%-4,127.82億
244.31%7,738.12億
-200.41%-9,589.47億
-85.08%919.78億
-69.86%1.02萬億
-108.00%-166.67億
-142.42%-5,362.15億
142.05%9,550.12億
-折舊與攤銷
7.58%2,218.49億
1.92%2,161.02億
0.96%8,668.23億
-0.77%2,186.12億
-2.59%2,062.16億
1.03%2,120.24億
-3.90%8,586.2億
-8.69%2,167.48億
0.41%2,203.18億
-1.92%2,116.94億
-聯營企業份額
----
----
----
----
----
----
-60.03%386.41億
-94.13%15.3億
----
----
-處置利潤
-442.37%-3.46萬億
24.15%-6,129.18億
-75.54%-2.03萬億
70.27%-2,910.61億
-254.23%-6,376.86億
-153.71%-8,080.36億
-259.05%-1.16萬億
-392.56%-2,723.24億
-187.49%-9,789.43億
112.24%4,134.7億
-匯兌損益淨額
----
-132.27%-1,432.7億
-103.85%-270.55億
259.15%5,409.29億
-499.55%-7,329.51億
-4.46%4,439.07億
-8.95%7,031.22億
791.75%3,949.2億
7.50%-3,398.84億
-33.40%1,834.44億
-遞延所得稅
2,711.69%2,402.31億
-41.55%1,257.97億
167.11%1,016.13億
-105.66%-105.34億
-85.20%85.44億
53.74%2,152.33億
-147.22%-1,514.16億
-262.76%-5,351.69億
14.83%1,860.25億
-88.51%577.28億
-其他非現金項目
12.87%2,222.84億
920.86%2,945.18億
-11.65%6,755.33億
-6.87%3,158.66億
84.06%1,969.3億
-71.76%288.5億
34.36%7,645.97億
109.03%2,162.69億
193.78%3,391.58億
-50.91%1,069.95億
營運資本變動
362.99%1,581.62億
-2,145.67%-1,391.67億
-4,367.31%-5,891.88億
-2,794.00%-3,807.16億
-144.01%-601.39億
-39.00%68.03億
101.36%138.07億
-147.16%-1,481.21億
-77.02%141.32億
139.18%1,366.44億
-應收款(增)減
-235.56%-3,007億
-161.88%-543.61億
-6.72%-5,085.44億
-107.96%-4,224.89億
63.09%-896.12億
-28.67%878.55億
7.86%-4,765.11億
-35.36%-1,537.27億
28.53%-2,031.61億
-89.74%-2,427.85億
-存貨(增)減
32.08%-77.8億
17.57%-226.84億
-835.84%-400億
23.16%-96.41億
-87.05%-114.55億
-1,145.91%-275.18億
128.72%54.36億
128.25%214.76億
-492.46%-125.47億
82.43%-61.24億
-應付款(減)增
1,295.62%1,632.62億
4.50%-1,325.32億
-27.23%2,370.3億
114.50%5,214.21億
-106.48%-136.55億
25.30%-1,387.8億
-25.90%3,257.31億
220.00%577.64億
-44.90%2,430.84億
42.23%2,106.77億
-其他流動資產變動
49.66%-812.34億
-36.38%-1,636.69億
-233.17%-7,695.72億
-147.13%-4,087億
-2,511.54%-1,613.8億
-1,018.05%-1,200.08億
-210.68%-2,309.86億
-1,122.57%-853.74億
-681.63%-1,653.76億
-87.44%66.92億
-其他流動負債變動
78.09%3,846.14億
14.04%2,340.79億
26.08%4,918.98億
-140.30%-613.07億
28.41%2,159.63億
253.39%2,052.54億
134.59%3,901.37億
-34.16%117.4億
219.75%1,521.32億
143.42%1,681.84億
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流)
-28.27%-1,614.27億
-63.34%-1,731.54億
-12.01%-4,821.11億
-34.52%-1,284.67億
-2.42%-1,258.51億
2.15%-1,060.08億
-2.93%-4,304.22億
4.78%-1,037.07億
3.83%-954.99億
-5.59%-1,228.74億
已收到的利息(經營活動產生的現金流)
-25.73%499.97億
-33.74%398.31億
17.04%2,997.14億
-20.34%331.84億
-31.68%673.22億
30.66%601.12億
129.18%2,560.83億
17.11%698.77億
151.07%416.58億
509.10%985.4億
已支付退稅
-129.02%-212.44億
-316.04%-4,424.77億
73.66%-2,151.61億
57.43%-1,483.99億
530.09%732.1億
74.78%-1,063.55億
-55.31%-8,167.78億
42.50%-294.37億
-6.00%-3,486.11億
-132.65%-170.22億
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
-32.27%1,506.92億
-529.22%-2,705.94億
-18.75%2,035.8億
-149.66%-302.63億
-14.86%2,224.96億
75.08%-430.05億
-66.20%2,505.47億
513.16%1,008.4億
-64.01%609.4億
-36.98%2,613.41億
投資活動現金流量
資本支出
----
----
----
-10.65%-1,726.37億
----
----
----
----
0.61%-1,560.18億
1.53%-1,698.59億
物業、廠房及設備交易淨額
---2,584.3億
-8.76%-2,172.19億
-37.19%-8,541.73億
----
----
---1,997.27億
1.76%-6,226.12億
----
----
----
業務交易淨額
74.26%-541.2億
--0
-1.96%948.62億
-117.99%-63億
-568.29%-2,102.56億
25.75%1,172.03億
1,282.61%967.55億
--0
400.30%350.11億
---314.62億
投資產品交易淨額
1,002.66%5,966.29億
-122.90%-3,671.64億
-493.16%-7,316.37億
-76.31%636.03億
117.83%541.08億
3.29%-1,647.19億
-118.74%-1,233.46億
1,134.70%819.07億
37.46%2,684.75億
-337.98%-3,033.98億
向其他方提供的預付現金及貸款
----
----
88.35%-365.38億
99.42%-13.59億
81.49%-38.5億
93.01%-33.52億
-2,000.76%-3,136.86億
-1,170.49%-117.52億
-22,259.16%-2,332.06億
-525.25%-208.02億
償還對其他方提供的預付款及貸款產生的現金收入
----
----
11.07%1,193.84億
-74.58%42.48億
264.00%950.34億
-64.29%176.69億
14.32%1,074.81億
529.31%151.79億
-26.12%167.08億
604.48%261.08億
其他投資變動淨額
-66.63%265.5億
41.27%-571.81億
-1,702.05%-2,234.38億
129.95%247.87億
99.78%795.69億
-137.23%-973.67億
-96.81%139.47億
-56.46%979.35億
-166.21%-827.72億
33.51%398.28億
投資活動現金淨額
281.40%3,106.29億
-94.24%-6,415.64億
-93.89%-1.63萬億
42.26%-876.58億
62.74%-1,712.37億
-7.31%-3,302.93億
-253.67%-8,414.61億
-7.88%777.17億
-179.10%-1,518.02億
-3,004.47%-4,595.85億
融資活動現金流量
債務發行/償還的淨額
3,309.83%7,331.47億
5,875.29%1.89萬億
421.16%1.08萬億
84.98%2,454.23億
102.66%215.01億
-96.30%315.96億
-92.60%2,077.78億
-97.97%280.07億
-82.87%1,326.79億
-124.17%-8,074.55億
普通股發行/回購的淨額
99.99%-800萬
-4,660,700.00%-932.16億
-2,963,125.00%-2,370.58億
-1,327,850.00%-531.18億
-7,689,500.00%-1,537.88億
0.00%-200萬
100.00%-800萬
-33.33%-400萬
100.00%-400萬
100.00%200萬
租賃融資增減
2.06%-462.7億
-3.52%-514.03億
11.74%-1,864.41億
11.65%-437.43億
12.55%-472.44億
18.58%-496.55億
20.72%-2,112.31億
25.59%-467.1億
22.04%-495.11億
18.28%-540.26億
已支付現金股息
5.66%-5.5億
1.86%-310.45億
0.52%-640.2億
1.06%-317.22億
19.14%-5.83億
-0.67%-316.32億
8.38%-643.56億
17.22%-1.49億
5.37%-320.63億
18.99%-7.21億
非控制性權益現金股息
40.62%-555.54億
-13.33%-1,628.73億
-27.96%-3,686.78億
8.26%-1,295.25億
-2,530.33%-935.61億
-2.26%-1,437.11億
0.12%-2,881.19億
-14.75%-28.39億
-14.16%-1,411.88億
84.53%-35.57億
其他籌資費用淨額
29.67%-3,684.72億
60.14%-1,396.92億
-436.60%-1.34萬億
148.74%788.73億
-261.95%-5,239.34億
-280.75%-3,504.33億
73.25%-2,502.86億
-28.68%-3,199.46億
49.22%-1,618.27億
534.52%3,235.25億
融資活動現金淨額
132.88%2,622.93億
359.22%1.41萬億
-84.15%-1.12萬億
126.27%661.88億
-47.10%-7,976.09億
-202.70%-5,438.37億
-416.54%-6,062.22億
-132.01%-3,416.41億
15.34%-2,519.14億
28.11%-5,422.32億
現金淨流量
期初現金流
-23.88%4.19萬億
-39.99%3.71萬億
-10.66%6.19萬億
-33.27%4.48萬億
-24.84%5.5萬億
-10.66%6.19萬億
33.97%6.93萬億
6.67%6.16萬億
13.96%6.71萬億
20.52%7.32萬億
現金變動
196.95%7,236.14億
154.25%4,975.66億
-112.54%-2.54萬億
84.91%-517.33億
-0.79%-7,463.5億
-1,964.10%-9,171.35億
-180.87%-1.2萬億
-113.96%-1,630.84億
-638.16%-3,427.76億
-108.97%-7,404.76億
匯率變動影響
125.77%711.97億
-112.53%-245.74億
-92.38%374.87億
216.95%2,354.56億
-309.08%-2,762.81億
-42.60%1,961.81億
78.36%4,918.68億
1,138.78%2,192.66億
-17.19%-2,013.34億
-22.20%1,321.42億
現金變動之外的其他現金調整
----
----
200.00%330.11億
--0
--0
--330.11億
---330.11億
----
----
----
期末現金
11.27%4.98萬億
-23.88%4.19萬億
-39.99%3.71萬億
-24.40%4.66萬億
-33.27%4.48萬億
-24.84%5.5萬億
-10.66%6.19萬億
-10.66%6.19萬億
6.67%6.16萬億
13.96%6.71萬億
自由現金流
-393.93%-1,077.38億
-100.97%-4,878.13億
-74.86%-6,505.93億
-113.40%-2,029億
-59.93%366.54億
33.27%-2,427.32億
-446.02%-3,720.65億
96.00%-47.12億
-869.86%-950.78億
-62.23%914.82億
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30
經營活動現金流量(間接法)
經營活動產生的現金 36.35%2,833.66億179.37%3,052.06億-51.59%6,011.38億-53.94%2,134.19億-31.35%2,078.15億-64.93%1,092.46億-21.09%1.24萬億40.40%1,641.07億-20.23%4,633.92億-34.59%3,026.97億
扣除非現金調整前淨利潤 124.65%2.76萬億5,290.77%5,641.44億666.24%1.6萬億-118.23%-1,796.77億255.51%1.23萬億103.31%104.65億126.49%2,092.17億1,142.09%3,288.95億232.34%9,854.75億-125.59%-7,889.59億
非現金項目調整總額 -174.36%-2.63萬億-230.22%-1,197.71億-140.52%-4,127.82億244.31%7,738.12億-200.41%-9,589.47億-85.08%919.78億-69.86%1.02萬億-108.00%-166.67億-142.42%-5,362.15億142.05%9,550.12億
-折舊與攤銷 7.58%2,218.49億1.92%2,161.02億0.96%8,668.23億-0.77%2,186.12億-2.59%2,062.16億1.03%2,120.24億-3.90%8,586.2億-8.69%2,167.48億0.41%2,203.18億-1.92%2,116.94億
-聯營企業份額 -------------------------60.03%386.41億-94.13%15.3億--------
-處置利潤 -442.37%-3.46萬億24.15%-6,129.18億-75.54%-2.03萬億70.27%-2,910.61億-254.23%-6,376.86億-153.71%-8,080.36億-259.05%-1.16萬億-392.56%-2,723.24億-187.49%-9,789.43億112.24%4,134.7億
-匯兌損益淨額 -----132.27%-1,432.7億-103.85%-270.55億259.15%5,409.29億-499.55%-7,329.51億-4.46%4,439.07億-8.95%7,031.22億791.75%3,949.2億7.50%-3,398.84億-33.40%1,834.44億
-遞延所得稅 2,711.69%2,402.31億-41.55%1,257.97億167.11%1,016.13億-105.66%-105.34億-85.20%85.44億53.74%2,152.33億-147.22%-1,514.16億-262.76%-5,351.69億14.83%1,860.25億-88.51%577.28億
-其他非現金項目 12.87%2,222.84億920.86%2,945.18億-11.65%6,755.33億-6.87%3,158.66億84.06%1,969.3億-71.76%288.5億34.36%7,645.97億109.03%2,162.69億193.78%3,391.58億-50.91%1,069.95億
營運資本變動 362.99%1,581.62億-2,145.67%-1,391.67億-4,367.31%-5,891.88億-2,794.00%-3,807.16億-144.01%-601.39億-39.00%68.03億101.36%138.07億-147.16%-1,481.21億-77.02%141.32億139.18%1,366.44億
-應收款(增)減 -235.56%-3,007億-161.88%-543.61億-6.72%-5,085.44億-107.96%-4,224.89億63.09%-896.12億-28.67%878.55億7.86%-4,765.11億-35.36%-1,537.27億28.53%-2,031.61億-89.74%-2,427.85億
-存貨(增)減 32.08%-77.8億17.57%-226.84億-835.84%-400億23.16%-96.41億-87.05%-114.55億-1,145.91%-275.18億128.72%54.36億128.25%214.76億-492.46%-125.47億82.43%-61.24億
-應付款(減)增 1,295.62%1,632.62億4.50%-1,325.32億-27.23%2,370.3億114.50%5,214.21億-106.48%-136.55億25.30%-1,387.8億-25.90%3,257.31億220.00%577.64億-44.90%2,430.84億42.23%2,106.77億
-其他流動資產變動 49.66%-812.34億-36.38%-1,636.69億-233.17%-7,695.72億-147.13%-4,087億-2,511.54%-1,613.8億-1,018.05%-1,200.08億-210.68%-2,309.86億-1,122.57%-853.74億-681.63%-1,653.76億-87.44%66.92億
-其他流動負債變動 78.09%3,846.14億14.04%2,340.79億26.08%4,918.98億-140.30%-613.07億28.41%2,159.63億253.39%2,052.54億134.59%3,901.37億-34.16%117.4億219.75%1,521.32億143.42%1,681.84億
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流) -28.27%-1,614.27億-63.34%-1,731.54億-12.01%-4,821.11億-34.52%-1,284.67億-2.42%-1,258.51億2.15%-1,060.08億-2.93%-4,304.22億4.78%-1,037.07億3.83%-954.99億-5.59%-1,228.74億
已收到的利息(經營活動產生的現金流) -25.73%499.97億-33.74%398.31億17.04%2,997.14億-20.34%331.84億-31.68%673.22億30.66%601.12億129.18%2,560.83億17.11%698.77億151.07%416.58億509.10%985.4億
已支付退稅 -129.02%-212.44億-316.04%-4,424.77億73.66%-2,151.61億57.43%-1,483.99億530.09%732.1億74.78%-1,063.55億-55.31%-8,167.78億42.50%-294.37億-6.00%-3,486.11億-132.65%-170.22億
其他經營現金流入(流出) 0000000000
經營活動現金淨額 -32.27%1,506.92億-529.22%-2,705.94億-18.75%2,035.8億-149.66%-302.63億-14.86%2,224.96億75.08%-430.05億-66.20%2,505.47億513.16%1,008.4億-64.01%609.4億-36.98%2,613.41億
投資活動現金流量
資本支出 -------------10.65%-1,726.37億----------------0.61%-1,560.18億1.53%-1,698.59億
物業、廠房及設備交易淨額 ---2,584.3億-8.76%-2,172.19億-37.19%-8,541.73億-----------1,997.27億1.76%-6,226.12億------------
業務交易淨額 74.26%-541.2億--0-1.96%948.62億-117.99%-63億-568.29%-2,102.56億25.75%1,172.03億1,282.61%967.55億--0400.30%350.11億---314.62億
投資產品交易淨額 1,002.66%5,966.29億-122.90%-3,671.64億-493.16%-7,316.37億-76.31%636.03億117.83%541.08億3.29%-1,647.19億-118.74%-1,233.46億1,134.70%819.07億37.46%2,684.75億-337.98%-3,033.98億
向其他方提供的預付現金及貸款 --------88.35%-365.38億99.42%-13.59億81.49%-38.5億93.01%-33.52億-2,000.76%-3,136.86億-1,170.49%-117.52億-22,259.16%-2,332.06億-525.25%-208.02億
償還對其他方提供的預付款及貸款產生的現金收入 --------11.07%1,193.84億-74.58%42.48億264.00%950.34億-64.29%176.69億14.32%1,074.81億529.31%151.79億-26.12%167.08億604.48%261.08億
其他投資變動淨額 -66.63%265.5億41.27%-571.81億-1,702.05%-2,234.38億129.95%247.87億99.78%795.69億-137.23%-973.67億-96.81%139.47億-56.46%979.35億-166.21%-827.72億33.51%398.28億
投資活動現金淨額 281.40%3,106.29億-94.24%-6,415.64億-93.89%-1.63萬億42.26%-876.58億62.74%-1,712.37億-7.31%-3,302.93億-253.67%-8,414.61億-7.88%777.17億-179.10%-1,518.02億-3,004.47%-4,595.85億
融資活動現金流量
債務發行/償還的淨額 3,309.83%7,331.47億5,875.29%1.89萬億421.16%1.08萬億84.98%2,454.23億102.66%215.01億-96.30%315.96億-92.60%2,077.78億-97.97%280.07億-82.87%1,326.79億-124.17%-8,074.55億
普通股發行/回購的淨額 99.99%-800萬-4,660,700.00%-932.16億-2,963,125.00%-2,370.58億-1,327,850.00%-531.18億-7,689,500.00%-1,537.88億0.00%-200萬100.00%-800萬-33.33%-400萬100.00%-400萬100.00%200萬
租賃融資增減 2.06%-462.7億-3.52%-514.03億11.74%-1,864.41億11.65%-437.43億12.55%-472.44億18.58%-496.55億20.72%-2,112.31億25.59%-467.1億22.04%-495.11億18.28%-540.26億
已支付現金股息 5.66%-5.5億1.86%-310.45億0.52%-640.2億1.06%-317.22億19.14%-5.83億-0.67%-316.32億8.38%-643.56億17.22%-1.49億5.37%-320.63億18.99%-7.21億
非控制性權益現金股息 40.62%-555.54億-13.33%-1,628.73億-27.96%-3,686.78億8.26%-1,295.25億-2,530.33%-935.61億-2.26%-1,437.11億0.12%-2,881.19億-14.75%-28.39億-14.16%-1,411.88億84.53%-35.57億
其他籌資費用淨額 29.67%-3,684.72億60.14%-1,396.92億-436.60%-1.34萬億148.74%788.73億-261.95%-5,239.34億-280.75%-3,504.33億73.25%-2,502.86億-28.68%-3,199.46億49.22%-1,618.27億534.52%3,235.25億
融資活動現金淨額 132.88%2,622.93億359.22%1.41萬億-84.15%-1.12萬億126.27%661.88億-47.10%-7,976.09億-202.70%-5,438.37億-416.54%-6,062.22億-132.01%-3,416.41億15.34%-2,519.14億28.11%-5,422.32億
現金淨流量
期初現金流 -23.88%4.19萬億-39.99%3.71萬億-10.66%6.19萬億-33.27%4.48萬億-24.84%5.5萬億-10.66%6.19萬億33.97%6.93萬億6.67%6.16萬億13.96%6.71萬億20.52%7.32萬億
現金變動 196.95%7,236.14億154.25%4,975.66億-112.54%-2.54萬億84.91%-517.33億-0.79%-7,463.5億-1,964.10%-9,171.35億-180.87%-1.2萬億-113.96%-1,630.84億-638.16%-3,427.76億-108.97%-7,404.76億
匯率變動影響 125.77%711.97億-112.53%-245.74億-92.38%374.87億216.95%2,354.56億-309.08%-2,762.81億-42.60%1,961.81億78.36%4,918.68億1,138.78%2,192.66億-17.19%-2,013.34億-22.20%1,321.42億
現金變動之外的其他現金調整 --------200.00%330.11億--0--0--330.11億---330.11億------------
期末現金 11.27%4.98萬億-23.88%4.19萬億-39.99%3.71萬億-24.40%4.66萬億-33.27%4.48萬億-24.84%5.5萬億-10.66%6.19萬億-10.66%6.19萬億6.67%6.16萬億13.96%6.71萬億
自由現金流 -393.93%-1,077.38億-100.97%-4,878.13億-74.86%-6,505.93億-113.40%-2,029億-59.93%366.54億33.27%-2,427.32億-446.02%-3,720.65億96.00%-47.12億-869.86%-950.78億-62.23%914.82億
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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